Work with business units on monthly reporting packs Group cash flow reporting and management Due diligence companies or acquisitions Evaluate business processes on business units to improve efficiencies and profitability project finance Strong understanding of financial business processes Meticulous attention to detail Deadline
Work with business units on monthly reporting packs Group cash flow reporting and management Due diligence companies or acquisitions Evaluate business processes on business units to improve efficiencies and profitability project finance Strong understanding of financial business processes Meticulous attention to detail Deadline
Reference: NPr001011-TS-1 A well-known business in the automotive space is looking to hire a Senior Internal (but are not limited to): Test controls Compliance Manage a team on audits Plan projects Meet clients Travel least Part 1 complete Job Experience: People management Skills: Problem solving and analytical thinking
training academy Ensure training content is relevant Manager delivery of training programs Implement methods with all stakeholders Manage training budget Education: Bachelors degree in Business, Education, HR MBA
training academy Ensure training content is relevant Manager delivery of training programs Implement methods with all stakeholders Manage training budget Education: Bachelors degree in Business, Education, HR MBA
meticulous and efficient Payroll Administrator ready to manage my client's salary and wage data with precision such as loans, advances, and garnishee orders. Manage deductions for taxes, UIF, levies, and other statutory Proven experience as a Payroll Administrator or Manager. Proficiency in Microsoft Office Sage VIP Premier Effective time management and organisational abilities. Minimum National Diploma or Degree in Business, Finance
Service to process accounting entries Cash flow management to maintain accuracy of treasury forecasts reconciliation reconciliation between actual and forecast Business partnering through consolidating budget, forecasts
Service to process accounting entries Cash flow management to maintain accuracy of treasury forecasts reconciliation reconciliation between actual and forecast Business partnering through consolidating budget, forecasts
Collaborate with product managers and stakeholders to understand business requirements and translate
monthly and annual financial statements Daily cash management Daily recording of asset transactions (additions essential Strong Microsoft Excel skills Financial and business acumen Strong personality Ability to work in a