a monthly basis for loans advanced to companies and shareholders. ● Reconcile loan accounts with companies
responsibilities include the following: Month End Preparing loan account reconciliations and product development reporting packs. Review inter-group transactions and loan accounts. Overseeing the reporting by group companies
solutions. The work we do and the way we do it make a real, lasting difference to the lives of those we reach for our future, and that could include you The people who thrive here genuinely care about making a difference talented team of professionals Chance to make a real difference in the lives of our clients Opportunity
solutions. The work we do and the way we do it make a real, lasting difference to the lives of those we reach for our future, and that could include you The people who thrive here genuinely care about making a difference talented team of professionals Chance to make a real difference in the lives of our clients Opportunity
client is a leading boutique agency specialising in real estate across South Africa, with a focus on the multitask and prioritise tasks effectively. Knowledge of real estate laws and regulations. Excellent attention website - www.parvana.co.uk . Property Management, Real Estate, Regulations, Invoicing
detail-oriented financial professional with a passion for real estate? A leader in property investment and management Their extensive portfolio and strategic approach to real estate have positioned them at the forefront of 3 years of accounting experience, preferably in real estate or property management. Proficiency in MDA
over time. Responsibilities: Month End: Preparing loan account reconciliations and product development reporting packs Review inter-group transactions and loan accounts Overseeing the reporting by group companies
over time. Responsibilities: Month End: Preparing loan account reconciliations and product development reporting packs Review inter-group transactions and loan accounts Overseeing the reporting by group companies
availability of cash for working capital purposes Monitor loan covenants and requirements. Ensure payroll is processed flow forecast timeously. Ensure optimal use of loans. Manage the relationships with External and internal
availability of cash for working capital purposes Monitor loan covenants and requirements. Ensure payroll is processed flow forecast timeously. Ensure optimal use of loans. Manage the relationships with External and internal