Financial statements Management accounts Month-end & year-end reporting Financial reporting Tax & VAT
Complete month-end/quarter-end/year-end procedures related to inventory. Complete month-end reporting/quarter-end reporting/quarter-end reporting related to inventory (split of inventory balance, disclosure checklist). Ensure auditors on inventory-related topics. Arrange the year-end inventory counts (together with the auditors) for during reporting periods (quarter-ends, forecast, budget, year-end). Steer business towards achievement
identify trends, and provide actionable insights to support decision-making.
to contribute to project success. Furthermore, supporting the respective Project Manager in all other areas related Project Reporting and Controlling activities Supports the Project Manager that the financial results cooperation with the assigned contract manager Supports the PM in identifying, evaluating and assessing respect to all commercial risks and opportunities Supports Project Manager to select and involve partners
queries from staff and management; payroll month-end general ledger reconciliation reports for medical understanding of payroll tax legislation and tax year-end process for IRP5 update and distribution of IRP5's
transactions, reconciliations, reports and providing support to other members of the accounting team Record other documents as required by management Support: Provide support to the accounting ream by performing adminstrative
ICT solution provider that helps clients build, support, and manage their IT infrastructures. We have operations are met through providing operational financial support and partnering with business unit segment heads the following functions: Business Unit Decision Support, Financial Accounting, Treasury, Revenue Assurance input so that BU management teams see Decision Support as a key contributor Develop credibility with segment across all the business units in terms of decision support presentation. Enable improved decision making and
multiple programming languages. Develop and maintain user requirements, parameters, and configurations of
multiple programming languages. Develop and maintain user requirements, parameters, and configurations of
identify trends, and provide actionable insights to support decision-making. Cash Flow Management: Oversee reconcile transactions. Audit and Compliance: Support annual audits, ensure documentation is provided