Key details
Quick facts about this role
Location
Paarl, Western Cape
Work mode
On-site
Compensation
Market related
Posted
29 Apr 2026
Closes
19 May 2026

Accounting Careers

Accountant – Paarl

Are your strengths running the full finance portfolio, using your assertiveness combined with adaptability in a growing project-based company?

Our client based in Paarl requires your degree and minimum 5-8 years experience with a solid understanding of financial management and cashflow control.

The role entails high ownership, taking full responsibility of finances, and understanding the bigger, strategic picture.

REQUIREMENTS
  • Matric, or related qualification
  • Degree or diploma in Accounting, Finance, or related field
  • Minimum 3-5 years’ experience, preferably in construction or project-based environment
  • Strong working knowledge of Xero
  • Experience with invoicing, bank submissions, and claims processes
  • Solid understanding of financial management and cash flow control
  • Advanced Microsoft Excel Skills
  • Strong attention to detail and organisational skills
  • Ability to work independently and meet deadlines
  • Understanding of South African tax and compliance requirements
  • Cash-focused mindset and strong on collections. Understands that profit doesn’t matter if cash isn’t in the bank
  • High ownership – takes responsibility for the full finance function
  • Detail-oriented but understanding the bigger strategic picture
  • Structured and disciplined
  • Able to work and communicate effectively with team members and leadership
  • Proactive problem solver
  • Ideal:
  • Comes from a construction or project-based business
  • Comfortable operating in a hands-on, high pressure, fast-moving environment
  • Has experience tightening financial controls in a growing company
  • Able to balance operational detail with strategic thinking
DUTIES
  • Financial Management & Reporting
  • Maintain accurate and complete financial records (XERO)
  • Prepare required financial reports in collaboration with External Accountants/Auditors
  • Produce accurate and complete monthly management accounts
  • Analyse financial performance and provide actionable insights
  • Assist with budgeting and forecasting
  • Cash Flow & Working Capital
  • Take full ownership of weekly cash flow management
  • Work closely with CEO on cash flow planning and decision-making
  • Project & Cost Accounting
  • Ensure accurate allocation of costs to projects
  • Prepare and submit project claims to banks and relevant institutions in a timely manner
  • Liaise with banks regarding drawdowns
  • Maintain visibility of project profitability and cost control
  • Manage cost reporting (LiveCost & Xero)
  • Accounts Payable & Receivable
  • Oversee full AP and AR functions
  • Actively manage debtors and collections to ensure cash is received on time
  • Review and approve all supplier payments
  • Compliance & Statutory
  • Ensure compliance with tax regulations and statutory requirement
  • Liaise with auditors and external stakeholder
  • Systems & Processes
  • Ensure processes and controls are adhered to
  • Identify risks and implement process improvements and controls
  • Ensure financial data integrity and reporting accuracy and completeness
  • Payroll & Administration
  • Oversee payroll processing (SimplePay)
  • Oversee finance related payroll administration
  • Handle general financial administration and ad-hoc duties
Salary: R negotiable dependent on experience
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