Recrutement de 01 Accountant (Fixed Term Contract)
Recrutement de 01 Accountant (Fixed Term Contract)
Entreprise: TotalEnergies
Niveau d'etude: Non precise
Localité: Afrique du Sud / JOHANNESBURG
Date limite: 2024-09-08
Recrutement de 01 Accountant (Fixed Term Contract)
Accountant (Fixed Term Contract) - TotalEnergies Renewables Southern Africa
Pays
Afrique du Sud
Lieu
South Africa
Lieu de travail
CAPE TOWN-TYGER VALLEY CHAMBERS 2(ZAF)
Domaine
Finance
Type de contrat
CDD
Expérience
Minimum 6 ans
Profil du candidat
BCom Accounting or equivalent
5-8 years’ experience in an accountant role
Completed SAIPA/SAICA/ACCA articles in a well-recognised firm
Proven work experience as a financial accountant or similar role
In depth understanding of business bookkeeping procedures
Solid knowledge of accounting regulations
Excellent math skills with attention to details
Time management abilities
Confidentiality
Activités
Accounting: ensure the compliance with contractual, legal, and group accounting norms and procedures, monitor any deviation and take appropriate actions
Post entries using the accounting in house software. Ensure proper recording of operations in general (P&L, BS) and auxiliary (vendors, customers’ accounts).
Ensure accurate and timely closure of the accounts on monthly, quarterly, and annual basis. Prepare monthly, quarterly, and annual statements (balance sheet and income statements). Responsible for preparation of quarterly group reporting.
Responsible for the preparation of statutory books. Liaise with local auditors for statutory audits.
Tax: Manage tax payment and tax reporting. Comply with tax filing requirements by studying regulations, adhering to requirements, advising management on required actions, calculating monthly and quarterly estimated tax payments, assembling data for quarterly and annual tax filing.
Liaise with the tax compliance third party and the ministry of finance/tax authorities for all the tax related topics
Responsible for the preparation of the corporate tax return in close cooperation with Group Tax.
Treasury: responsible for day-to-day cash and liquidity management in close cooperation with both subsidiary and group treasury department. Ensure sufficient funds are available to cover operational and capital investment needs.
Prepare bank reconciliations
Proceed with payment to vendors from different bank accounts
Respond to financial inquiries by gathering, analysing, summarizing, and interpreting data
Other or ad-hoc tasks requested by the hierarchy.
ACTIVITIES / HSE ASPECTS
Comply with HSE policies,
Actively participate and contribute to affiliate and company HSE objectives,
Participates to HSE trainings and simulated exercises when required,
Communicates to HSE dept. all situations of risks, accidents, near-accidents in the company;
Contexte et environnement
Regular interaction with a number of divisions/departments
Interaction with internal & external parties; staff, vendors, etc.
Maintain vigilant respect of local laws and regulations.
Work in accordance with COMPANY’s rules, procedures & policies
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