agribusiness seeks a FInancial Manager.for its Retail Division. Responsibilities: Financial Reporting and Analysis: Analysis: - Prepare and analyse financial statements. - Financial performance analysis. - Budget monitoring budget and financial forecasting. Financial Operations, Systems and Control: - Financial transaction transaction management. - Internal controls implementation. - Financial process improvement. - Financial systems systems management. - Process improvement. Cash Flow Management: - Cash flow forecasting. - Working capital
client, a leading agricultural enterprise, seeks a Financial Controller at its industrial Feed Factory (production) Teams to compile and maintain the Feed Factories' financial reports, which include balance sheets and income monthly. Prepare management reports and provide recommendations for cost management and increased production follow-ups with Plant management on deviations. Monthly analysis on stock movements. Manage the activities of more years' experience in Accounting or Cost Management (Controlling) in a Production Environment. Advanced
be responsible for financial statements, IFRS compliance and monthly group financial reporting Responsible Responsible for monthly group financial reporting. Responsible for planning & coordination of month end each division/company financial report and business drivers. Meet with financial heads of different departments information is reported in the group financial report. Manage and assist with reporting efficiency projects projects. Responsible for interim and financial year end reporting (statutory reporting). Assist with
seeks a Financial Manager for its Retail Division at its Head Office. The position manages 5 direct Responsibilities: Financial Reporting and Analysis: - Prepare and analyse financial statements. - Financial performance budget and financial forecasting. Financial Operations, Systems and Control: - Financial transaction transaction management. - Internal controls implementation. - Financial process improvement. - Financial systems systems management. - Process improvement. Cash Flow Management: - Cash flow forecasting. - Working capital
be responsible for financial reporting and monitoring of control environment. Manage forecasts & budgets budgets. Gather historic financial information. Apply expected fiancial and economic indicators on historical forecasts for management Financial and operational reporting/authorisation. Generate financial reports on to auditors and assist in relevant enquiries. Corporate control. Test and prepare transactions against treatment of new business processes. Evaluate financial performance of project against business case presented
the strategic financial operations of the organisation (Retail Division) to ensure financial efficiency growth. Cost Management and Financial Efficiency Analyse and monitor the organisation's financial performance opportunities to improve financial performance across the business. Develop and implement financial strategies to improve profitability. Prepare and manage budgets, forecasts, and financial reports timeously. Adhere to all Compliance Ensure compliance with all relevant financial regulations and standards. Develop and maintain
its head Office. • Prepare and manage forecasts & budgets. • Financial and operational reporting/authorization 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