Job Description
Founded in 2007, Reload Logistics began as an independent logistics provider with a bold vision: to simplify and connect Africa’s complex supply chains. Over the years, we have expanded rapidly across Southern Africa and the Middle East, building a strong presence in over 13 countries.
Headquartered in Dubai, with deep operational roots in key African trade corridors, we have grown into a trusted partner for international freight forwarding, cross-border transportation, warehousing, project cargo, and customs clearance solutions. From managing over 800,000 sqm of warehousing space to operating a fleet of 1,000+ trucks and 200 rail wagons, Reload continues to invest in infrastructure and innovation.
Today, Reload Logistics is a reliable and forward-thinking logistics leader, empowering trade and connectivity across Africa and beyond.
Role Overview
The Financial Accountant plays a key role in supporting core accounting functions, focusing on month-end closing, reconciliations, compliance, and reporting. The role involves cross-functional coordination with AP/AR, internal operations, and external stakeholders such as intercompany (IC) teams and banks. The position requires a strong understanding of accounting principles, attention to detail, and the ability to meet tight deadlines.
Key Responsibilities
- Month-End Closing:
- Perform month-end closing activities including accruals, prepayments, and journal adjustments.
- Reconciliations:
- Conduct balance sheet reconciliations to ensure accuracy and resolve variances.
- Handle intercompany reconciliations and ensure matching balances across group entities.
- Complete bank and petty cash reconciliations to verify accurate postings.
- Financial Reporting & Analysis:
- Prepare financial reports and schedules for management review.
- Provide ad hoc financial analysis and reports as requested by management.
- Audit & Compliance:
- Support internal and external audits by providing timely documentation and clarifications.
- Ensure compliance with IFRS standards and internal financial controls.
- Cross-Functional Coordination:
- Liaise with cross-functional teams (AP, AR, operations) to resolve accounting queries.
- Coordinate with internal operations, intercompany (IC) teams, and banks for finance-related matters.
- Tax & Regulatory:
- Manage VAT submissions and refunds, including preparation and follow-up with authorities.
- Treasury and cash management:
- Load and review payments and receipts
- Perform daily bank reconciliations
- Support Finance Manager in cash flow management
- Liaise and coordinate with Treasury Manager/banks on any bank issues pending resolution
Role Requirements
- Bachelors’ Degree in Accounting, Finance, Commerce or a related discipline.
- Minimum 3-5 years’ relevant experience in similar role – preferably in a logistics environment.
- Professional accounting qualification such as ACCA, CPA, CIMA or CA is preferred.
- Ability to translate financial data into clear, actionable business insights.
- Strong Excel & Financial Modelling skill; experience with integrated ERP systems.
- Strong knowledge of IFRS and GAAP is preferred.
- Strong communicator with the ability to influence stakeholders and drive accountability.