the AFS • Involvement in Financial Analytics performance, as and when requiredCOMPETENCIES • Leading and networking• Planning and organising• Writing and reporting• Detail orientation and ability to analyse numerical management skills and the ability to perform under pressure To assist with AFS preparation and audit process
renewal facilities. Provide ongoing support and assistance to Area Fleet Managers(AFM) in structuring finance deals and navigating the credit approval process. Perform in depth financial analysis and compile credit credit proposal. Monitor and track sales performance metrics, including volume, profitability, and market share share, and provide regular reports and updates to management. Complete all required administrative services services through continuous reporting and updating of documents related to relevant stakeholders. Support
to take up a temporary maternity cover role, reporting to the Group Financial Executive. Initially Accounting legal entities Hire Purchase Agreement Process Assisting with BEE Over time the scope of work may grow specific entities Assisting Assist with preparing of group consolidated budgets Assist with the preparing preparing of group consolidated audit results Assist with preparing monthly group management accounts Compiling BEE purposes Assist with preparing the Dividend, Provisional and final tax returns Assist with managing
/>Duties and Responsibilities:
process in terms of
financial management and reporting.
? Assist in establishing and monitoring core and project
requests and process month end
journals.
? Perform bank and balance sheet reconciliations and validate
/>monthly processes with programme staff.
? Assist with oversight of partner contracts and tracking
creditor accounts.
? Monitor the accuracy of all reports generated by Netsuite and import yearly budget
management accounts, budget and forecast setting and assisting with decision making around projects in the organization Assets, Variables, Costing etc experience KEY PERFORMANCE AREAS Management Accounting Prepares for and financial impact of any variations from actual performance to budget and forecast Prepares month-end variance processes, systems and procedures Financial Analyses, Reporting and Risk Assessment Monitors financial risks or contracts Analyses key financial indicators in reports, in order to identify any variances and provide
management accounts, budget and forecast setting and assisting with decision making around projects in the organization Assets, Variables, Costing etc experience KEY PERFORMANCE AREAS Management Accounting Prepares for and financial impact of any variations from actual performance to budget and forecast Prepares month-end variance processes, systems and procedures Financial Analyses, Reporting and Risk Assessment Monitors financial risks or contracts Analyses key financial indicators in reports, in order to identify any variances and provide
analyising of data, perform audits, assist with budgets and financial forecasting with the reporting of findings Analysis and Reporting - Design and prepare monthly. quarterly and annual managements reports for submission
Duties & Responsibilities
Assist and mentor junior clerks
Review all accounting done
financial statements
Liaise with clients
Assist with taxation matters
Prepare and post cheque
filing
Assisting with reports
Assisting with maintaining archives
Assisting accountant
functions as may be required
Assisting with the overall financial reporting
Daily processing of accounting
reconciliations and payments
Assisting with monthly financial reports, annual audit working papers and
process in terms of financial management and reporting. Minimum two years' experience of financial management Responsibilities 1. Provide financial and grant management ? Assist in establishing and monitoring core and project budget requests and process month end journals. ? Perform bank and balance sheet reconciliations and validate through monthly processes with programme staff. ? Assist with oversight of partner contracts and tracking creditor accounts. ? Monitor the accuracy of all reports generated by Netsuite and import yearly budget