Senior Accountant at Excellerate JHI

Company:

Excellerate JHI

Excellerate JHI

Industry: Real Estate

Deadline: Not specified

Job Type: Full Time

Experience: 2 – 5 years

Location: Gauteng

Province:

Field: Finance / Accounting / Audit

About the role

  • Join our company where you will play an important role in positioning finance as a strategic business partner. Your responsibilities will center around enhancing finance’s influence in decision-making processes, overseeing financial operations and delivering insightful reporting to clients.

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 JHI and Client, invoicing & collection thereof
  • Maintain fixed asset registers
  • Follow up of long outstanding items

Reporting on Balance sheet

  • Take on & Hand overs of buildings
  • Capturing of take on balances
  • Hand overs: Coordination of financial process
  • Attend monthly client meetings
  • Monthly feedback to management regarding the Management meeting.
  • Verify expenses against Project lists
  • Ensure use of correct accounts
  • Calculating and invoicing of management fee.
  • Review Commissions for accuracy & posting of batches

Legal Compliance

  • Complete VAT returns
  • Complete income tax returns (where necessary)

Manage of GPS sundry debtor (incl commissions)
Provide input in GPS property management budgets

Cash management

  • Owner payments
  • Cashflow recons



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