forecasting with the reporting of findings to management and other entities Controlling and Monitoring monthly. quarterly and annual managements reports for submission. Risk Management - Ensure all departments Prepare final year end packs and tax packs Lead and manage staff - Delegation of work activities to ensure
Preparing cash management daily bank balance sheet Preparing the weekly stats Preparing Cash management interest results Assisting with preparing monthly Group management accounts Compiling information of the Corporate Provisional and final tax returns Assist with managing bank accounts Assisting with the preparation of
The main functions of this role will entail the management of Accounts Payable, Cashbooks, Fixed Asset Registers and as required by the Financial Manager. Key Responsibilities Management of the following areas: Creditors Creditors / Accounts Payable. Cashbook Management. Petty Cash. Fixed Asset Registers. Qualifications and Experience: experience on SYSPRO most advantageous. Excellent time management and organising skills. Self-Motivated, Meticulous
The main functions of this role will entail the management of Accounts Payable, Cashbooks, Fixed Asset Registers and as required by the Financial Manager. Key Responsibilities Management of the following areas: Creditors Creditors / Accounts Payable. Cashbook Management. Petty Cash. Fixed Asset Registers. Qualifications and Experience: experience on SYSPRO most advantageous. Excellent time management and organising skills. Self-Motivated, Meticulous
audit for specific entities Preparing of cash management daily bank balance sheet Preparing of the weekly weekly stats for Executives Preparing Cash management interest calculation Preparing the motor vehicle audit results Assist with preparing monthly group management accounts Compiling information of the Corporate Provisional and final tax returns Assist with managing bank accounts with Standard Bank Assist with the
part-time Finance Officer assists with the financial management of all our grant and sub-grant activities and proposals and verifying financial information. ● Manage sub-granting processes, including due diligence Finance Officer or similar role. ● Experience managing finances and grants involving international organisations accounting experience. ● Proven experience in managing and accounting for grants of at least USD 50,000 and international financial management, auditing and project management processes. ● Understanding of
queries. Provide weekly cash flow data to the line manager. Coordinate and maintain credit applications. Follow Computer literacy Key Skills: Computer literacy Time management Effective communication Numerical skills Stress
i>Proficiency in Sage
fixed asset reporting and recons Trial balance management of all entities. Preparation of monthly income all VAT and tax vendors and matching Manage funds, assets management and cash flow Requirements: BCom financial
asset reporting and recons