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Financial Accountant; Temporary

Job in Centurion, 0014, South Africa
Listing for: Momentum-Investments
Seasonal/Temporary, Contract position
Listed on 2026-08-30
Job specializations:
  • Finance & Banking
    Financial Reporting, Accounting & Finance, Financial Analyst, Tax Accountant
  • Accounting
    Financial Reporting, Accounting & Finance, Financial Analyst, Tax Accountant
Job Description & How to Apply Below
Position: Financial Accountant(Temporary 12 Months Contract)

Financial Accountant(Temporary 12 Months Contract)

Details

Closing Date 2026/08/30

Reference Number MMH
260826-5

Job Title Financial Accountant(Temporary 12 Months Contract)

Position Type Temporary

Role Family Finance

Remote Opportunity Some of the time

Location
- Country South Africa

Location
- Province Gauteng

Location
- Town / City Centurion

Introduction

Through our client-facing brands and our other specialist brands, Momentum Group enables business and people from all walks of life to achieve their financial goals and life aspirations. We help people grow their savings, protect what matters to them and invest for the future. We help companies and organisations care for and reward their employees and members. Through our own network of advisers or via independent brokers and utilising new platforms Momentum Group provides practical financial solutions for people, communities and businesses.

Role

Purpose

We are seeking a detail-oriented and experienced Financial Accountant to join our team at Momentum Investments. The ideal candidate will be responsible for the full accounting and financial control function for an Asset Manager. Attention to detail and meeting deadlines are essential. This role involves working closely with the finance team to support overall financial operations and contribute to the company's financial health.

This role will report directly into the Financial Controller.

Requirements Qualifications, Knowledge & Experience
  • Bachelor's degree in accounting, Finance, or related field.
  • A minimum of 3-5 years' relevant financial accounting experience (in the Investment Management / industry is a requirement).
  • Proven experience with financial reporting, budgeting and tax compliance.
  • Experience in accounting for foreign entities and foreign exchange will be advantageous.
Duties & Responsibilities Key Resoi
  • Financial Reporting: Prepare and analyse financial statements, ensuring accuracy and compliance with relevant accounting standards.
  • General Ledger Management: Maintain and reconcile general ledger accounts, ensuring accurate and timely posting of transactions.
  • Budgeting and Forecasting: Assist in the preparation of budgets and financial forecasts, monitoring variances and providing analysis.
  • Accounts Payable and Receivable: Manage accounts payable and receivable processes, including invoice processing, payment collections, and vendor management.
  • Tax Compliance: Ensure compliance with tax regulations, preparing and filing tax returns and related documentation.
  • Audit Support: Assist with internal and external audits, providing necessary documentation and support to auditors.
  • Financial Analysis: Conduct financial analysis to support decision-making processes, identifying trends and providing insights.
  • Policy and Procedure Development: Develop and implement accounting policies and procedures to ensure efficient and effective financial operations.
  • Internal Financial Control: Refining and maintain the internal financial control monitoring, reporting and auditing frameworks.
  • System Maintenance: Utilize and maintain financial software systems, ensuring data integrity and accuracy.
  • Team

    Collaboration:

    Work closely with the finance team and other departments to support overall financial operations and achieve business objectives.
  • Accurately process month-end entries to ensure all financial accounting transactions supporting financial flows is completed up to the Trial Balance stage.
  • Release monthly payments to Fund Managers and creditors on schedule to support financial operations and maintain cash flow.
  • Oversee daily and monthly bank reconciliations for both local and offshore accounts, ensuring accuracy and timely resolution of discrepancies.
  • Prepare monthly VAT reconciliations and SARB submission
    , ensuring compliance with tax obligations and accuracy in reporting.
  • Prepare tax calculations and journals.
  • Provide comprehensive information to Auditors during the annual audit, facilitating a smooth and efficient audit process and ensuring transparency.
Knowledge
  • JDE knowledge will be an advantage.
  • Sound knowledge of accounting principles and practices.
  • Solid Excel knowledge with basic to advanced use of functions.
Skills
  • Strong knowledge of accounting principles and standards.
  • Proficiency in accounting software and financial management systems.
  • Excellent analytical and problem-solving skills.
  • Attention to detail and high level of accuracy.
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