organization, providing strategic guidance to senior management, and driving financial performance to support standards. Risk Management: Identify and mitigate financial risks through effective risk management practices strategies, and internal controls. Cash Flow Management: Manage cash flow projections and optimize working liquidity and operational stability. Capital Management: Evaluate capital allocation decisions, including thrive in a dynamic and fast-paced environment, managing multiple priorities and deadlines effectively
Accounting / Finance. Two (2) years supervisory/management experience in Internal Auditing at Local Government Municipal Systems Act (MSA) and Municipal Finance Management Act (MFMA) and related legislation and policies III report on corporate governance, financial management and understanding business processes will be presentation, strategic planning, leadership, project management and analytical skills. Computer literacy, with maintain relationship with all stakeholders. Provide Management and Audit Committee with timely audit reports
innovation, and excellence, we design, install, and manage solar projects across South Africa. Genergy is Asset Register Employee Clocking Consolidation: Manage and consolidate employee online time records. Ensure Travel and Accommodation Expenses Consolidation: Manage and consolidate travel expenses. Verify and process accuracy. - Excellent organizational and time-management skills. - Understanding of employee timekeeping Knowledge of overtime regulations. - Ability to manage and consolidate travel and accommodation expenses
Our client requires the service of a Managing Agent who will be responsible for providing support to Homeowners Associations by ensuring professional management of their property. Key performance areas: Administrative policies, etc. Meeting Services: Arranging trustee / management committee and annual general meetings. Take care of minutes. Assist and advise the trustees / management committee on the procedures regarding matters investigations to suggest solutions Financial Management: Control of current account as well as investment
The Accountant (CA(SA)) will play a key role in managing financial processes, ensuring compliance with financial performance and variances. Management Accounting: Provide management with timely and accurate financial company assets and mitigate financial risks. Audit Management: Liaise with external auditors to facilitate audit findings. Cash Flow Management: Monitor cash flow projections and manage working capital to ensure insights from financial data. Proven ability to manage multiple priorities and meet deadlines in a fast-paced
financial audits conducted by external auditors. Manage relationships with vendors and suppliers, ensuring compliance with tax requirements. Manage fixed-asset register Manage flooplan payments Maintain confidentiality
a suitably qualified and experienced person to manage our payroll outsourcing division as well as undertake sites with support from Head Office. Assist in managing payroll outsourcing division. Must have own transport
Prepare Import cost files and submit summary to Management Accountant for update to SAP. Assist and support support in scanning / other projects. Stand in for Management Accountant in his absence. Assist with correction Finance / Management Accounting or related fields (NQF 6). Honours Degree in Finance / Management Accounting
Oversee day-to-day accounting operations. Manage and oversee the processing of accounts payable and receivable financial audits conducted by external auditors. Manage relationships with vendors and suppliers, ensuring
for this post Knowledge of Municipal Finance Management Act MFMA will be an added advantage 1 – 5 years years experience in a similar field Project Management Service multiple clients simultaneously