Finance Administrator
Job Placements · Khayelitsha
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At our client, careful stewardship of resources is an expression of our values of Love, Compassion, Patience, Respect, Justice and Hospitality. The Finance Administrator is the custodian of the day-to-day finances of our client and the single point of accountability for cash management, payroll, supplier payments and statutory financial compliance in Zimbabwe.
This is a well-rounded, hands-on role: the incumbent manages cash and banking in a multi-currency environment, runs the monthly payroll and statutory remittances, controls creditor payments, maintains accounting records to trial balance, and ensures that every return due to ZIMRA, NSSA and other Zimbabwean authorities is submitted accurately and on time. The role reports to the Chief Financial Officer in Cape Town, works within the Region's financial policies and delegated authority, and gives the General Manager and Executive Management Team reliable, timely financial information.
KEY DUTIES AND RESPONSIBILITIES
1. Cash and Treasury Management
Manage the daily cash position; prepare rolling weekly and monthly cash-flow forecasts in USD and ZiG and submit funding requests to Regional Finance in good time.
Control all bank accounts, petty cash and cash on hand; perform daily cash counts and enforce dual control. Cash is receipted at reception or by the Facility Administrator; the Finance Administrator banks it within agreed timeframes and reconciles receipts to bankings.
Prepare monthly bank reconciliations for every account and clear reconciling items within the month.
Administer foreign- and local-currency transactions in line with Reserve Bank of Zimbabwe exchange-control requirements and our clients Care policy, accounting accurately for exchange differences.
2. Payroll and Employee Statutory Deductions
Process the monthly payroll accurately and on time from authorised inputs (time and attendance, leave, appointments, terminations) received from the Facility Administrator and Heads of Departments.
Calculate, remit and file by due date: PAYE and AIDS Levy (ZIMRA), NSSA pension and Workers' Compensation contributions, ZIMDEF manpower development levy, Standards Development levy, NEC dues, and medical aid, pension, union, garnishee and other third-party deductions.
Reconcile payroll to the general ledger and bank monthly; issue payslips, post payroll journals and prepare annual employee tax returns.
Compute leave and terminal benefits in accordance with the Labour Act and the applicable NEC agreement; keep payroll information strictly confidential.
3. Supplier Payments, Creditors and Resident Accounts
Process supplier invoices against approved orders, quotations and goods-received confirmation, wi
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