Hvc Analyst

3 weeks ago


Cape Town, South Africa CA Financial Appointments Full time

Seeking a qualified finance professional to fill a contract role in the Petrochem Industry. Your experience, knowledge and understanding accounting will ensure accurate and timely reconciliation of the indirect taxes and account balances. Your critical thinking will assist in analysing and reconciling items resolved, together with the ability to assess risks and potential impact.

**Responsibilities**:

- Analyse and compile data to perform the monthly DAS reconciliation process
- Calculation and validation of DAS accruals at month end
- Analyse and investigate Das reconciling items
- Validating of Indirect Tax invoices for validity and accuracy
- Initiating of Indirect Tax credit notes where required
- Prepare and process necessary journal entries
- Compile and provide data for Management Information purposes
- Compile data and complete submission to SARS
- Ensure Balance Sheet Integrity (BSI) for indirect tax balance sheet accounts
- Attend to Internal and External Audit requirements
- Update/review DAS standard operating procedures and process maps and manuals
- Provide cover for other Indirect Tax team members

**Requirements**:

- Newly Qualified CA(SA) or BComm Honours Degree
- 3-5 Years business, accounting, and finance experience
- Strong Excel knowledge
- Stable home internet software / workstation (essential)
- Must be immediately available for contract work



  • Cape Town, South Africa bp Full time

    Job summary **Entity**: Finance **Job Family Group**: Procurement & Supply Chain Management Group - Execute day-to-day inventory accounting/settlements operations to ensure delivery meets customer expectations. - Monitor inventory transactions and reports in ERP systems and reconcile inventory and inventory related accounts in the general ledger; review and...

  • Supply Team Lead

    4 weeks ago


    Cape Town, South Africa bp Full time

    **Job Profile Summary** - The key purpose of the role is to oversee and manage the processes and people responsible for the reconciliation, and reporting of consignment stock balances vs the physical stock balances (per ATG system). - BP and its Retail dealers operate a consignment stock model at certain terminals around the country. This model is a storage...