Financial Manager - Ground Up Property Services UK
(2026-02)
- Accounts Receivable management, oversight and reporting
- Management and mentoring of credit controllers
- Accounts Payable management, reporting and reconciliation and payment of contractors' invoices
- UK Payroll processing and administration
- Bank reconciliation
- Monthly Management reporting
- Cash Flow forecasting
Independent Consultant - Frontline Research Group
(2025-10 - 2026-01)
- Financial Administration – Project Next Mile (Mozambique)
- Managing and preparing project payments for various Workstream leads in Mozambique
- Supplier Contract Management (International)
Independent Consultant - Olivetti Garden Route
(2025-08 - 2026-01)
- Financial Consulting
- Financial Reporting and cash book management
- Creditors payments management
- SARS and Companies Act Compliance
- Annual Audit File preparation
Financial Manager - Nashua Port Elizabeth
(2023-07 - 2025-06)
- Maintaining financial records/Balance sheet recons
- Member of Executive Committee
- Bookkeeping up to trial balance (monthly / annually)
- Calculation and submission of monthly VAT returns as well as attending to SARS reviews
- Compilation of monthly management accounts for the directors and shareholders whilst adhering to strict deadlines
- Taxation computations and tax planning
- Monthly cash flow projections and forecasting
- Annual budgeting
- Adhering to strict monthly reporting deadlines
- Preparation of annual audit file for external auditors
- Day-to-day general operations management
- Stock control management
- IFRS9 / IFRS16 compliance
- FICA Compliant officer
Financial Manager - EC Clean Agencies (Pty) Ltd, Chemblend (Pty) Ltd, Subsidiaries of Acorn Black Investments (Pty) Ltd
(2020-11 - 2023-06)
- Maintaining financial records and reconciliation and payment of monthly creditors (Sage 300/AccPac)
- Preparation and reconciliation of monthly cashbooks
- Monthly payroll processing and payment (VIP Payroll)
- Bookkeeping up to trial balance (monthly / annually)
- Calculation and submission of monthly VAT returns as well as attending to SARS reviews and audits
- Compilation of monthly management packs for the directors and shareholders whilst adhering to strict deadlines
- Monthly cash flow projections and forecasting
- Annual budgeting
- Adhering to strict monthly reporting deadlines
- Preparation of annual audit file for external auditors
- Day-to-day general operations management
- Stock control management
- Debtors / Collections management
Financial Manager - Xerox Port Elizabeth
(2017-07 - 2020-05)
Retrenched due to COVID-19
- Maintaining financial records and reconciliation and payment of monthly creditors (Sage Evolution)
- Preparation and reconciliation of monthly cashbooks
- Monthly payroll processing and payment (VIP Payroll)
- Bookkeeping up to trial balance (monthly / annually)
- Calculation and submission of monthly VAT returns as well as attending to SARS reviews and audits if applicable
- Compilation of monthly management reports for the directors and shareholders
- Submitting month end reporting packs to shareholders whilst adhering to strict deadlines
- Monthly cash flow projections and forecasting
- Annual budgeting
- Preparation of annual audit file for external auditors
Financial Manager - Cape Estates (Pty) Ltd - George (relocated to Port Elizabeth)
(2013-05 - 2017-04)
Maintaining financial records and reconciliation and payment of monthly creditors relating to the construction process for the following companies: Cape Estates (George), Reigate Development Projects (George), Magnolia Ridge Properties (George), Guildford Development Projects (Cape Town). All of the above companies specialize in residential property development.
- Preparation and reconciliation of monthly cashbooks
- Construction costing, budgeting and cash flow projection
- Project Management – actual spend per project and managing expenditure versus budget (+- 20 simultaneous residential properties)
- Pastel accounting for the group of companies up to trial balance
- Monthly payroll calculation and payment
- Calculation of 2 monthly VAT returns for the companies listed above as well as facilitating SARS reviews and audits
- Monthly management accounts for the group (property development entities and share trading entities)
- Preparing annual audit file for the group for external auditors
Professional Accountant - Burger and Associates Chartered Accountants - George
(2005-03 - 2013-04)
Junior Partner since April 2011
- Completion and submission of VAT and PAYE returns
- Preparation of monthly management accounts
- Review and sign off of Annual Financial Statements for business entities and Individuals
- Audit of financial statements including school audits
- Managing, leading and mentoring a team of junior accountants
- Maintenance of company SARS e-filing database including submission and payment of all types of tax returns
- Cash flow projections and budgeting