Assistant Management Accountant
AVI Limited
Date: 1 week ago
City: Cape Town, Western Cape
Contract type: Full time

At I&J, part of AVI, we combine close to 115 years of excellence with a forward-thinking approach to the fishing industry. As a leader in premium seafood, including Cape Hake and farmed Cape Abalone, we are committed to sustainability, innovation, and empowering local communities. Our latest innovation, Air-Fri’kn Amazing, brings bold flavours and crispy perfection to your air fryer, showcasing our passion for quality and customer-centric excellence.
Why Join I&J?
Reporting Structure
Financial Reporting and Analysis:
Detailed vessel cost analysis
Shore Overheads
Cost recoveries
Stock adjustments / write offs
Packaging count and reconciliations
Fuel usage and reconciliations
Vessel cost vs plan and prior
Cost center allocations
Month End Activities
Calculate shore based overhead allocation and ensure reporting reflects allocation correctly.
Experience that set you up for success:
Join us to shape the future of South African seafood while making a meaningful impact on communities and the environment and be part of a team committed to excellence and making a positive impact.
Why Join I&J?
- Industry Leader: Work with a renowned brand known for premium Cape Hake and farmed Abalone.
- Sustainability Focused: Contribute to responsible fishing practices with MSC accreditation.
- Community Impact: Be part of a company that empowers and invests in local communities.
Reporting Structure
- Reports to: Finance Manager
Financial Reporting and Analysis:
- Cost management and data analysis to inform business decisions.
- Compile and review the following reports monthly:
Detailed vessel cost analysis
Shore Overheads
Cost recoveries
Stock adjustments / write offs
- Provide meaningful analysis of abovementioned reports to Financial Manager.
- Prepare ad hoc reports to support audit, operations or strategic decision-making.
- Review and improve key cost reconciliation to ensure high level of accuracy.
- Perform the following reviews monthly to ensure high level of accuracy:
Packaging count and reconciliations
Fuel usage and reconciliations
Vessel cost vs plan and prior
Cost center allocations
Month End Activities
- Perform month end close to Trail Balance, ensuring high level of accuracy and integrity.
- Perform the following month end financial processing activities within the given timelines:
Calculate shore based overhead allocation and ensure reporting reflects allocation correctly.
- Prepare monthly reporting pack, with the view to eventually automate.
- Support capital project costing, business cases and approvals.
- Review and track spend.
- Report and present project milestones, spend and any variances.
- Collaborate and provide strategic support to operational management.
- Understand key cost and business drivers to ensure high level of accuracy in the forecasting process.
- Co-ordinate with planning and operations teams to ensure inputs received is accurate and complete.
- Upload budget and forecast into SAP with the view of automating process.
Experience that set you up for success:
- Minimum 3 years’ relevant experience in a similar role
- A BCom Degree is required
- Proficient in Excel, MS Office and SAP ERP
- Pro- active and well organised
- Good communicator
Join us to shape the future of South African seafood while making a meaningful impact on communities and the environment and be part of a team committed to excellence and making a positive impact.
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