examining client infrastructure and requirements. · Transition proposed solutions to the Delivery team. · Leverage
general ledger, audits, cost accounting, creditors and cash management as well as debtors, CAPEX, stock control
with daily operations in the business Treasury and cash flow Assisting with Audits Staff Management Skills
Accounts Tax and statutory returns (VAT, PAYE, UIF) Cash flow projection Weekly management reports &
the Office Automation industry are looking to recruit a Financial Manager to join their team. Job Description/Duties: etc. Basic HR responsibility. Manage and report on cash-flow. Produce sales analysis. Adherence to monthly
power of renewable resources to drive the energy transition and make a positive impact on our planet. They
Suitable candidate should have experience in transitioning from a bricks and mortar marketing business
power of renewable resources to drive the energy transition and make a positive impact on our planet. They
Process Customer Payments : Ensure all customer cash received is promptly applied to their accounts and tasks as needed. Issue Escalation : Escalate any cash allocation issues to the Regional Finance Teams
facilitating stock control, processing sales, handling cash, and following all Standard Operating Procedures and receiving of stock deliveries - Handling of cash and card sales, including processing of sales, banking