Accountant.WITH MANUFACTURING EXP SAGE X3 ERP EXP Management of the creditors, banking, funds, fixed assets timeous monthly financial reports • Review monthly Management Accounts and provide variance report • Assist of fixed assets as per policy • Review monthly management accounts to ensure accuracy and provide consolidated drafting Policies and Standard Operating Procedures • Manage staff and review performance • Ensure all regional statements are accurate, and distributed on time to all managers • Responsible for all balance sheet and income
effectively and proactively assist the company in managing its responsibility to comply with all the regulatory compliance risk management process that includes the identification, assessment, management, monitoring and the business Managing the Regulatory Profile and engaging with the Executive Management team on any incidents accurate pertinent compliance reports Project management in support of compliance requirements, implementation and assurance across the business units Assist management with identification and evaluation of compliance
effectively and proactively assist the company in managing its responsibility to comply with all the regulatory compliance risk management process that includes the identification, assessment, management, monitoring and the business Managing the Regulatory Profile and engaging with the Executive Management team on any incidents accurate pertinent compliance reports Project management in support of compliance requirements, implementation and assurance across the business units Assist management with identification and evaluation of compliance
You will be responsible for the management of the Group Investment Portfolios.
Further,to
activities, oversee the performance of all funds under management, and effectively maintain drive growth for the
private equity investment experience at a top Fund Manager, Investment bank and/or another comparable financial
Financial Acumen (includes ability to identify and manage risk)
Financial Manager will be responsible for the full accounting function from data input to management reporting from data input to management reporting Data Analysis Support to Financial Manager Analytical Reporting queries Prepare Manual Journals BEE Reporting Management Reporting Pack Preparation Foreign Payments _ Costing Function Full Fixed Assets management Adhoc- Assist Financial Manager and CA when requested BComm degree
Post-investment management, performance monitoring, and performance reporting of an allocated portfolio policies In collaboration with the business partner management team, define KPIs and design dashboards to collect Build sound relationships with business partner management teams and boards through regular visits to / insights relative to specific sectors. Implement and manage a process for forecasting listed share dividends the analysis Work closely with the boards and management teams of the Business Partners to ensure that
To implement and maintain portfolio management of the listed equity investment portfolios, including post-investment monitoring or portfolio performance management.
with mid-level experience, your role involves managing and overseeing financial transactions within the crucial in evaluating project profitability, cost management, and ensuring compliance with accounting standards accurate financial insights to stakeholders and management, contributing to informed decision-making within transactions and perform reconciliations; Reconcile and manage debtors and creditors control accounts; Conduct Generate monthly intercompany invoices and assist in management reporting; Assist in the preparation of annual
with mid-level experience, your role involves managing and overseeing financial transactions within the crucial in evaluating project profitability, cost management, and ensuring compliance with accounting standards accurate financial insights to stakeholders and management, contributing to informed decision-making within transactions and perform reconciliations; Reconcile and manage debtors and creditors control accounts; Conduct Generate monthly intercompany invoices and assist in management reporting; Assist in the preparation of annual
reconciliations. Monitor cash management daily to optimise interest. Management of processes relating to tax
annual returns and related payments. Management of insurance. Management of banking relationships. Review
general ledger accounts Preparation/review of management accounts.
Reporting: Exco report
performance against budget. Manage the audit process with the auditors as necessary. Manage the finance team located
Strong tax and balance sheet skills. Proven people management and leadership skills, preferably with people