and multi-disciplinary teams to ensure a smooth transition that complies with internal and regulatory requirements business exit strategies or similar high-stakes transitions. Proven experience with IT integration projects
month-end. Make a significant impact during this transitional period. Key Requirements: Proven experience
of project staff To ensure all business and IT transition activities are catered for and performed, e.g post-implementation support and IT service and solution transition to operational support teams To ensure alignment
completed Resolve customer queries regarding in-transit damaged goods Report missing rates and complete
founded more than 50 years ago. Bi-weekly capturing of cash and credit card payments for all 3 companies Monthly all bank accounts Monthly reconciliation of petty cash accounts Capturing and reconciliation of all creditors
Office.
Assist in preparation of Cash Flow Computations.
Assist with preparation
Responsibilities: Track expenses, budget, taxes, cash flow, receipts, and other financial dealings of
proposed solutions. Ensure developed solutions are transitioned into the relevant support teams. Benefits Management
reconciling bank accounts, credit cards accounts, petty cash accounts and other accounts to ensure accuracy.
business case for capital approval. Forecast and review cash flow on monthly basis. Determine project costs (part