efficiency, compliance, and strategic growth. Cost Management and Financial Efficiency Analyse and monitor reduce costs and improve profitability. Prepare and manage budgets, forecasts, and financial reports timeously smooth transitions and optimal use. Strategic Management Develop and execute financial strategies to support customer expansion, sales strategies and margin management in terms of input supplies, fuels, and retail senior management to align financial strategies with overall business objectives. People Management and
candidates to join its head Office. • Prepare and manage forecasts & budgets. • Financial and operational statement accounts. • Authorise payment of vendors. • Manage balance sheet items/ratios. • Investigate/explain/intervene Advise and coach business managers on control improvements • Diligent management of all sundry accounts
QUALIFICATIONS : Matric B. Comm Degree in Accounting / Management Accounting (ESSENTIAL) Minimum of 5 – 8 years' function. Reporting directly to the Group Financial Manager as well as to the Group Financial Director Key adjustment journals, to be approved by Group Financial Manager & Director Reconciling balance sheet account Preparation and reporting on monthly management accounts to management Performing day end, month end and on SYSPRO system Expense provisions management Nedfleet management Creditors & Expenses Loading payments
/work packages. Follow up on debtors, supplier management and measure project profitability. Daily reconciliation other allied tasks required for execution by management. Qualifications Diploma /Degree in Accounting Attention to detail, prioritization skill and time management. Quick learner with a positive attitude Must experience in, and understanding of MS Word, Excel To manage activities and tasks, whilst working under pressure
issues that relate to finances, treasury, risk management, as well as information technology. The culture purchasing, and risk management. Proven career history in the preparation and management of strategic plans systems and controls to ensure good financial management. Proven oversight and experience regarding technology financial reporting, budgeting, and forecasts. Risk Management and Internal Control Measures: Providing the as maintenance of a robust framework for risk management and internal control measures. Treasury and Capital
Professionals has over 100 years of industry management experience dedicated to personal success, structured providing financial planning services, investment management, and delivering financial advice to clients. and effective planning, organizing, and time management skills Entrepreneurial mindset Clear credit record
financial reporting deadlines are met Continuous management and support of budget and forecast activities Major. At least 3 - years' experience in the management of financial systems and budgets, financial reporting
will be responsible for accurately processing and managing payroll transactions for our organization. Your submit payroll reports and summaries for review by management or accounting departments. Benefits Administration:
will be responsible for accurately processing and managing payroll transactions for our organization. Your submit payroll reports and summaries for review by management or accounting departments. Benefits Administration:
Financial Advisor. With over 100 years of industry management experience that will be dedicated to your personal financial plan. Proffer recommendations on cash management, investment choice, and insurance coverage. Carry Tenacity Effective planning, organizing and time management skills. Benefits: Lucrative commission structure