Contract position for a Management Accountant - 5 months contract - Diep River - Western Cape.
Management Accountant. This is a 5 to 6 month contract half
purpose of this position is to:
Cost Management:
a position, Finance/Grants Manager to based in Newlands, Cape Town. Assist in establishing and monitoring each objective area and core cost expenditure. Manage quarterly and monthly financial planning and budget through monthly processes with programme staff. Assist with oversight of partner contracts and tracking contributions across partnerships. Validate and manage correctness of debtors and creditor accounts. Monitor expertise in managing effective donor project cycle management process in terms of financial management and reporting
requires a Senior Project Manager to join their Finance team on a Contract basis Managing Finance and Tax Projects executives Identify & manage issues and bottlenecks effectively Planning and managing a diverse project team
Senior Project Manager to join their team on a contract basis Responsible for managing multiple projects is achieved as planned Manages deviations from plan Degree Project Management Certifications 5 - 10 Years Years Project Management experience gained in the Financial Services Industry Experience with Financial
a position, Finance/Grants Manager to based in Newlands, Cape Town. Assist in establishing and monitoring each objective area and core cost expenditure. Manage quarterly and monthly financial planning and budget through monthly processes with programme staff. Assist with oversight of partner contracts and tracking contributions across partnerships. Validate and manage correctness of debtors and creditor accounts. Monitor expertise in managing effective donor project cycle management process in terms of financial management and reporting
Preparing cash management daily bank balance sheet Preparing the weekly stats Preparing Cash management interest for specific entities Assisting with preparing Group consolidated budgets Assisting with the preparation consolidated audit results Assisting with preparing monthly Group management accounts Compiling information purposes Assist with preparing the Dividend, Provisional and final tax returns Assist with managing bank bank accounts Assisting with the preparation of BEE reviews and audits Assisting with insurance renewal calculations
legal entities Hire Purchase Agreement Process Assisting with BEE Over time the scope of work may grow 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 specific entities Assisting Assist with preparing of group consolidated budgets Assist with the preparing consolidated audit results Assist with preparing monthly group management accounts Compiling information
the monthly waste stream reports for clients or assist with these reports. Attend to all incoming internal
documents
Post accruals, and prepayments Assist with the analysis of expenses Assist with the preparation of monthly 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
and prepayments