you can play a pivotal role in optimizing order to cash processes and support the company's growth and success balances Monitor and report on the debtors aging and cash flow projections Reconcile settlements of customer-related
201 & EMP501
required in this role. Consolidation and reporting at group level is not negotiable. If you are exceptional closely with group finance systems Group treasury Cashflow reporting Forecasting Cost analysis Group management Analysis Commercial support Skills & Experience: Group Level Qualification: CA(SA) Contact SHAKIRAH LAKAY
monthly management accounts
existing skillset All data capture for all entities - cash books, invoices etc Processing all payments in online
implement the corporate governance framework and ensure Group compliance to the relevant laws and regulations oversee the provision of legal services to the Group to mitigate any legal risk to the business.
Members aware of any law relevant to or affecting the Groupimplement the corporate governance framework and ensure Group compliance to the relevant laws and regulations oversee the provision of legal services to the Group to mitigate any legal risk to the business. Description Members aware of any law relevant to or affecting the Group Report to the Board on any failure on the part of evaluates compliance issues/concerns across the Group. Facilitate the appropriate evaluation, investigation present results of compliance efforts across the Group Provide guidance to the Board, Exco and the senior
implement the corporate governance framework and ensure Group compliance to the relevant laws and regulations oversee the provision of legal services to the Group to mitigate any legal risk to the business. Description Members aware of any law relevant to or affecting the Group Report to the Board on any failure on the part of evaluates compliance issues/concerns across the Group. Facilitate the appropriate evaluation, investigation present results of compliance efforts across the Group Provide guidance to the Board, Exco and the senior
Prepare monthly management accounts Banking and cash management Review and distribute financial reports
Prepare monthly management accounts Banking and cash management Review and distribute financial reports