Where

Senior Accountant (Umhlanga)

Job Placements
Durban Full-day Full-time

Description:

What you will bring

Inherent requirements for the position (non-negotiable)

Minimum BCom with Accounting III At least 2-5 years of relevant working experience in accounting or finance roles, ideally within the property management or real estate industry. Proficiency in SAP and MS Office Suite, particularly Advanced Excel, Intermediate Word, and Outlook.

Additional demonstrable requirements:

Strong organizational abilities with attention to detail. Proven ability to prioritize tasks and meet deadlines effectively. Experience in complex financial analysis and reporting. Thorough understanding of financial policies and procedures. Familiarity with capital expenditure processes and management. Proficient in tax principles, including VAT, and their application. Sound understanding of International Financial Reporting Standards (IFRS). Analytical mindset with a strategic approach to financial management. Strong interpersonal and communication skills for effective collaboration across teams. Commitment to maintaining confidentiality and integrity in financial matters.

What you will be doing

As an important member of our team, you will undertake a variety of responsibilities crucial to the smooth operation and financial oversight of our property management division. Key duties include:

Financial Reporting:

Provide Management information and reports, Communication with clients, Statutory reporting, Handling of queries relating to the financial reporting

Budgeting and Forecasting:

Budget management Coordination including the establishment of deviations Compilation, in conjunction with Business, of annual budgets Reporting on deviations Handling of queries Budget Class rates - Compare tariffs against budgets, Identify tendencies, Updating of tariffs. Amend monthly projections

Manage Audit requirements

Handle queries on audit reports Preparation of audit packs Arrange audits as required

Manage Data Integrity

Contracts check contract summary for accuracy Manage integrity of data Lease Audits


Balance sheet control

Maintain General ledger account list Clearing of take on accounts Monthly reconciliations of all balance sheet items Maintain Intercompany loan account between the company and Client, invoicing & collection thereof Maintain fixed asset registers Follow up of lon
05 Jan 2026;   from: gumtree.co.za

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