To manage the full finance function on site through the implementation of financial controls aligned to SOPs. To ensure controls are maintained in all finance related functions/procedures. To generate reports as required across all aspects of the value chain.
Responsibilities and Job objective Include but not limited to?
- Determine and implement cost accounting procedures and methods in order to accurately account for costing of products
- Ensure accurate financial reporting on site performance
- Ensure controls are implemented and operating effectively to mitigate the risk of fraud and material misstatements.
- Full understanding of the value chain
- Annual budget preparation
- Co-ordinate and participate in annual asset verification
- Ensure accurate accounting of manufactured products
- Ensure intercompany loan accounts balance on a monthly basis
- Ensure that accurate inventory counts are captured on the financial system
- Evaluates proposed capital projects and complete capex request
- Monthly reporting on expenses and inefficiencies in the value chain
- Prepare and assist with internal audits and external audits
- Prepare and capture the month-end journals and ensure that month-end closure deadline is met
- Prepare balance sheet reconciliations
- Provide support to the Financial Manager and Site Manager on ad hoc requests and feasibility study
- Review and authorise creditors for payment
- Track the financial savings of Continuous Improvement Project
- Monthly reporting on expenses and inefficiencies in the value chain.
- Annual budget preparation and the coordination and participation in annual asset verification.
- Your keen eye to evaluate proposed capital projects and the completion of capex requests would be a valuable asset.
- Assistance in the preparation of internal and external audits is a must with limited travel to our George depot for which you will also be responsible.