Outsourced CFO
Finance Manager - Logistics & Transport
Germiston, ZAPresencialPermanenteTempo integral
Publicado 8 de out. de 2026
Esta vaga foi publicada em EN
We are seeking a dynamic, highly analytical, and strategic Financial Manager to lead our client's finance department.
In this pivotal role, you will be responsible for overseeing all financial operations, driving strategic decision-making, and ensuring rigorous compliance and reporting standards are met. The ideal candidate is a proactive leader who thrives under pressure, champions continuous learning, and possesses the cultural awareness needed to build strong internal and external relationships.
If you have a proven track record in corporate financial planning and team leadership, we invite you to apply.
Key Responsibilities
○ Analyse market trends to identify expansion opportunities and maximize profitability.
○ Review financial reports continuously to identify and implement cost-reduction strategies.
○ Partner with senior management to guide and support key financial and business decisions.
○ Manage comprehensive budgeting and financial reporting processes.
○ Maintain and manage petty cash, credit card cashbooks, and salary account cashbooks.
○ Maintain the fixed asset register and calculate depreciation.
○ Manage and calculate interest, loan accounts, current portion loans, and amortization schedules.
○ Process comprehensive financial reconciliations, including balance sheet and payroll journals/reconciliations.
○ Manage both Annual and Standard Bank audits, as well as Stats SA submissions.
○ Act as Section 24 Manager, driving Employment Equity management and implementation.
○ Oversee Broad-Based Black Economic Empowerment compliance and strategy.
○ Oversee daily departmental functions including Insurance, Debtors (processing credit notes, cancelling sales orders), and Creditors (signing off invoices and recons).
○ Handle conflict effectively and resolve differences of opinion within the team.
○ Assist with IT-related planning, system replacements, and general tech troubleshooting.
○ Perform all other related duties and ad hoc tasks as required by the business.
In this pivotal role, you will be responsible for overseeing all financial operations, driving strategic decision-making, and ensuring rigorous compliance and reporting standards are met. The ideal candidate is a proactive leader who thrives under pressure, champions continuous learning, and possesses the cultural awareness needed to build strong internal and external relationships.
If you have a proven track record in corporate financial planning and team leadership, we invite you to apply.
Key Responsibilities
- Financial Strategy & Reporting
○ Analyse market trends to identify expansion opportunities and maximize profitability.
○ Review financial reports continuously to identify and implement cost-reduction strategies.
○ Partner with senior management to guide and support key financial and business decisions.
○ Manage comprehensive budgeting and financial reporting processes.
- Operational Finance & Cashflow Management
○ Maintain and manage petty cash, credit card cashbooks, and salary account cashbooks.
○ Maintain the fixed asset register and calculate depreciation.
○ Manage and calculate interest, loan accounts, current portion loans, and amortization schedules.
○ Process comprehensive financial reconciliations, including balance sheet and payroll journals/reconciliations.
- Compliance, Audits & Governance
○ Manage both Annual and Standard Bank audits, as well as Stats SA submissions.
○ Act as Section 24 Manager, driving Employment Equity management and implementation.
○ Oversee Broad-Based Black Economic Empowerment compliance and strategy.
- Team Leadership & Oversight
○ Oversee daily departmental functions including Insurance, Debtors (processing credit notes, cancelling sales orders), and Creditors (signing off invoices and recons).
○ Handle conflict effectively and resolve differences of opinion within the team.
- Systems & IT Administration
○ Assist with IT-related planning, system replacements, and general tech troubleshooting.
○ Perform all other related duties and ad hoc tasks as required by the business.
Requirements
- Minimum of 5 years of proven experience in financial management or accounting.
- Tech-savvy with strong systems administration capabilities (experience with Pastel is essential).
- A robust understanding of corporate financial planning, risk management, and investment strategies.
- Industry-specific knowledge (logistics/transport) will be considered a strong advantage.
- Highly strategic and analytical mindset with uncompromising accuracy and attention to detail.
- Exceptional leadership and strong communication skills. Heightened cultural awareness with the
ability to relate to diverse groups and build strong relationships. - Ability to thrive and cope under pressure during high-volume periods. Highly adaptable to changing
environments. - Driven, energetic, honest, and grounded in strong values with a dedication to continuous
learning.
Resumo da função
Tipo de vaga
Tempo integral
Competências necessárias
Financial Strategy and Decision SupportFinancial Statement Preparation and ReportingBudgeting and Budget ManagementCashflow Planning and Treasury ManagementBalance Sheet and Payroll ReconciliationsFixed Asset Register Maintenance and Depreciation AccountingVAT Compliance and Tax ReconciliationsAudit Coordination (Annual, Bank and External Audits)Employment Equity and B-BBEE Compliance ManagementTeam Leadership, Supervision and MentoringStakeholder Relationship Management and Cultural AwarenessAccounting Software Administration (Pastel)IT Systems Administration and Finance System Troubleshooting
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