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Job Title
Group Financial Manager (CA) - Manufacturing
Employment Type
Full Time
Experience
5 to 10 years
Salary
Negotiable
Job Published
13 March 2025
Job Reference No.
3282104783

Job Description

One of our retail clients are looking for an experienced Group Financial Manager (CA), to join their team, reporting to the CEO.

Qualifications and experience: 

  • Matric
  • CA(SA) – Chartered Accountant (South Africa), registered with SAICA (South African Institute of Chartered Accountants).
  • Compliance with ongoing CPD (Continuous Professional Development) requirements as per SAICA regulations.
  • 5 to 10 years post qualification with at least three (3) years working in a financial management role in a retail or manufacturing environment.
  • Used to working in a small to medium enterprise and able to successfully implement best practice financial systems in such an environment.
  • Clear credit record
  • Great track record as reference checks will be conducted upfront
  • MS Outlook – intermediate
  • MS Word – intermediate
  • MS Power point – intermediate
  • MS Excel – advanced
  • XERO Accounting Package – advanced user
  • SAAS – Browser Based Software
  • Greater understanding of AI Technology and applied principles.

 

Key skills:

Cost accounting

Financial management

Compliance

Financial forecasting and modelling 

AI financial tools 

Taxation

Negotiation

Contract drafting 

Inventory management

Analytical

Team player

Conflict handling

Dealing with people (customers, suppliers, colleagues)

Time management and delegation

Problem solving

Coaching

 

Key performance areas: 

Manage Bookkeeper, Creditors clerk and Debtors clerk directly. Manage Office Manager and Administrator indirectly

Providing financial insights 

IFRS compliance 

Automate processes 

Mitigate risk

Identify discrepancies during reconciliations 

Drafting and implementing financial policies

Implement automated aging reports and credit control measures 

Conduct variance analysis 

Internal and external audit 

Review annual financial statements 

Draft and submit management reports 

Forecasting

Budgeting

Cash flow oversight 

Trust liquidity 

Advise CEO regarding balancing equity and debt payments, investments and risks

Safeguard cash assets 

Monitor and hedge foreign exchange 

Liaise with the banks 

Use Spotlight Reporting integrated with XERO, for treasury reports 

Present annual financial budget to management 

Review budget performance on a monthly basis

Review tax calculations

SARS audits and disputes 

CAPEX budget 

Asset lifecycle management 

Risk assessment and insurance for fixed assets 

ROI analysis 

Company Secretariat functions 

BEEE

Project Assessments and Feasibility Studies

 

Skills

Industries