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Cost Accountant MMH

Job in Centurion, 0014, South Africa
Listing for: Momentum
Full Time position
Listed on 2026-09-30
Job specializations:
  • Accounting
    Financial Reporting, Financial Analyst, Financial Compliance, Accounts Receivable/ Collections
  • Finance & Banking
    Financial Reporting, Financial Analyst, Financial Compliance, Accounts Receivable/ Collections
Job Description & How to Apply Below
Position: Cost Accountant MMH260923-3
Role Purpose

To own and deliver accurate purchase ledger, payment, banking, month-end and expense-accounting activities, while providing meaningful P&L and expense analysis for designated entities and stakeholders. The role combines strong transaction-processing and control ownership with selected management-accounting responsibilities, including journals, reconciliations, reporting, budgeting support, forecasting support and variance commentary.?

Requirements Qualification
  • BCom Accounting; BCom Cost and Management; BCom Finance.
  • Or equivalent NQF 7.
Experience And Knowledge
  • 3+ years in management accounting.
  • Experience in financial services environment.
  • Skills in Excel (Intermediate).
  • Familiar with systems and tools like: IDU, JDE, Sun Systems, PowerBI, Clickview.
Duties and Responsibilities Purchase Ledger, Suppliers And Payments
  • Own the end-to-end purchase ledger process, including the accurate and timely processing and control of supplier invoices, intercompany invoices and payments, staff expenses and corporate card transactions.
  • Ensure invoices and expenses are appropriately supported, coded, verified and authorised in line with applicable policies and delegated authority.
  • Prepare payment runs, arrange approval and create or upload payments on the accounting and banking systems.
  • Handle supplier queries, reconcile supplier statements and act as a key point of contact for internal and external finance queries.
  • Maintain clear purchase ledger, payment and supplier-management procedures.
Banking, cash and intercompany accounting:?
  • Record bank payments and receipts accurately in the general ledger and maintain appropriate banking support and audit trails.
  • Prepare bank reconciliations and investigate and resolve reconciling items promptly.
  • Process and reconcile intercompany payments, salary recharges, expense transfers and other group recharges.
  • Maintain control over foreign-exchange rates used in the accounting records and related reconciliations.
Month-end, Journals And Balance-sheet Control
  • Prepare and upload month-end journals, including but not limited to accruals, provisions, prepayments, expense allocations, corrections and recharges.
  • Review journal allocations in accordance with policy, delegated authority and role-access controls.
  • Correct inaccurate division/cost-centre and general-ledger allocations and ensure corrections are processed completely and accurately.
  • Prepare and maintain balance-sheet and trial-balance reconciliations for areas and entities under ownership.
  • Maintain and reconcile the fixed-assets register and recommend improvements to fixed-asset management.
  • Support the month-end and year-end close, ensuring deadlines are met and issues are escalated appropriately.
Entity Ownership, P&L And Expense Reporting
  • Own the monthly accounting process for designated legal entities or business areas, including journals, reconciliations, close activities and reporting.
  • Prepare and analyse monthly P&L and expense reports, identify trends, anomalies, opportunities and risks, and provide clear variance commentary.
  • Explain relationships and movements in financial reports and communicate implications to stakeholders to support decision-making.
  • Prepare management and controller reporting packs for designated entities and areas.
  • Perform expense and margin analysis, including actual versus budget, cost‑centre and other relevant views.
  • Support revenue verification, recognition and reconciliation processes where required.
Budgeting, forecasting and business partnering:?
  • Support the annual expense budget and periodic forecast processes through preparation of schedules, historical trend analysis, validation of submissions and stakeholder engagement.
  • Prepare accurate monthly expense reporting comparing actual results…
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