Client Accountant – CPT, Southern Suburbs, Western Cape, ZA About our Client Our client is an established Wealth Management firm that strives to provide a specialist solution to their clients individual financial needs, by offering a
Key Responsibilities Audit file preparations Drafting of AFS: IFRS for SME, Compilations, Independent Reviews Preparation and submission of company and trust tax returns Preparation and submission of dividend tax returns Preparation and submission of IT3t returns
Key Responsibilities Prepare monthly journals, accruals and provisions. Perform balance sheet reconciliations. Maintain general ledger integrity across group entities. Process month-end and year-end accounting entries. Assist with the preparation of management accounts. Maintain finance lease and
Key Responsibilities Manage, mentor and develop members of the finance team. Manage the monthly accounting and reporting process. Review balance sheet reconciliations, journals, accruals and provisions. Assist with the preparation of annual financial statements and budgets.
Conova Pty Ltd, a wealth management firm in Cape Town, seeks a Client Accountant to support the Southern Suburbs team. The role emphasizes accurate outputs, strong client relationships and regulatory compliance across Wealth Management and Trust divisions.
Conova Pty Ltd in Cape Town is seeking an experienced IT professional to manage PBX systems, configure SIP trunks, IVRs, call queues and ensure reliable telephony services. The role also covers general IT support, active directory administration,
About our Client Our client is a fast-growing fintech company delivering innovative financial solutions in a dynamic and technology-driven environment. With offices across multiple countries, they rely on reliable communication systems and efficient IT operations to
Key Responsibilities Manage, mentor and develop members of the finance team. Manage the monthly accounting and reporting process. Review balance sheet reconciliations, journals, accruals and provisions. Assist with the preparation of annual financial statements and budgets.
Key Responsibilities Manage accounting records, in line with reporting standards and Group Finance SOPs. Day-to-day processing of all financial data (invoices, journals). Monthly preparation of the management accounts and executive summary. Processing of all relevant monthly
Key Responsibilities Manage accounting records, in line with reporting standards and Group Finance SOPs. Day-to-day processing of all financial data (invoices, journals). Monthly preparation of the management accounts and executive summary. Processing of all relevant monthly
Conova (PTY) LTD is seeking an experienced financial manager to oversee accounting records, monthly management accounts, VAT, and payroll processes within a hospitality-focused group. The role demands strong IFRS/IAS knowledge, advanced Excel skills, and proficiency in SAGE
Asset Administrator Conova Pty Ltd CPT - Northern Suburbs, Western Cape, ZA About our Client Our client is a boutique investment firm that hosts some of the top independent multi-managers in the industry. About the Role Within
Key responsibilities Prepare and present monthly financial results per store and consolidated group Analyse store-level profitability (sales, food costs, labour, overheads) Monitor key cost drivers including food, labour, and expenses Ensure accurate daily sales reconciliation and
Conova Pty Ltd in the Western Cape seeks an Asset Administrator to support brokers and manage trade processing, cash flows, and reconciliations. You will work within a boutique investment environment, interfacing with administrators, LISPs, and Mancos, while
Key responsibilities Manage recurring daily and monthly responsibilities independently Maintain strong financial controls Identify and resolve reconciling items Banking administration Loan Management System processing and maintenance Input sheet and transaction review Repossession accounting South African VAT
Key responsibilities Operate as the outsourced financial accountant for our Foundation clients, with responsibilities across: Day-to-day financial operations and bookkeeping Preparing and posting journals (QuickBooks experience essential) Monthly management accounts, including income statement and balance sheet
Key responsibilities Prepare annual financial statements (IFRS for SMEs) in Draftworx, including reconciliation of financial statement items to statutory submissions Process accounting records in Sage, Pastel, and Xero to trial balance, including bank, creditor, and debtor
Key responsibilities Work closely with Finance SMEs, the Finance Test Lead, Treasury and Data Engineers. Design, build and maintain Finance reporting outputs. Translate Finance, Treasury and regulatory requirements into clear report specifications, calculations, layouts, data requirements
Key Responsibilities Develop and implement financial strategies, budgets and forecasts aligned with organisational goals. Monitor financial performance, analyse variances and identify cost-saving opportunities. Prepare and present management accounts, financial reports and recommendations. Manage cash flow, banking
Key responsibilities Payment & Valuation Oversight: Review and authorise payments and valuations as an A Signatory, ensuring accuracy, completeness and compliance with required instructions and controls. Fund Accounting & Administration : Supervise and, where required, perform