East Rand is seeking a Senior Bookkeeper / Financial Manager to join the team. Candidate must have experience Monthly Journals Compiling Monthly Financial Reports for Management BBBEE Prep and Audit Annual Financial
preparation of financial statements and reports for internal and external stakeholders. Risk Management: Identifying expenses to enhance the company's financial performance. Cash Flow Management: Managing cash flow and liquidity execution of financial strategies aligned with organizational objectives. Stakeholder Management: Collaborating Assist in the preparation of financial information required for monthly management meetings. Audit Committee Assist in the preparation of financial information required for monthly management information. Oversee vat
preparation of financial statements and reports for internal and external stakeholders. Risk Management: Identifying expenses to enhance the company's financial performance. Cash Flow Management: Managing cash flow and liquidity execution of financial strategies aligned with organizational objectives. Stakeholder Management: Collaborating Assist in the preparation of financial information required for monthly management meetings. Audit Committee Assist in the preparation of financial information required for monthly management information. Oversee vat
filing and financial reporting. Perform financial management duties including generating financial data interactions, a sound working knowledge of financial management, numeracy, and attention to detail. Fluent
preparation of financial statements and reports for internal and external stakeholders. Risk Management: Identifying expenses to enhance the company's financial performance. Cash Flow Management: Managing cash flow and liquidity execution of financial strategies aligned with organizational objectives. Stakeholder Management: Collaborating Assist in the preparation of financial information required for monthly management meetings. Audit Committee Assist in the preparation of financial information required for monthly management information. Oversee vat
preparation of financial statements and reports for internal and external stakeholders. Risk Management: Identifying expenses to enhance the company's financial performance. Cash Flow Management: Managing cash flow and liquidity execution of financial strategies aligned with organizational objectives. Stakeholder Management: Collaborating Assist in the preparation of financial information required for monthly management meetings. Audit Committee Assist in the preparation of financial information required for monthly management information. Oversee vat
Town. Compiling supplementary financial reports as required by management, or other stakeholders. Compiling by the auditors annually together with the Financial Manager. Reviewing and finalizing the annual Financial Statements together with the audit team and the Financial Manager. Tax Calculations (Yearly taxation, provisional
role in shaping their financial trajectory. Moreover, you'll oversee the management and control of day-to-day implementation, and oversight of professional financial management and accounting policies and systems to align international financial reporting standards (IFRS) and statutory regulations Supervising the management and control end financial and tax reports Conduct periodic internal audits, focusing on inventory management Oversee 8/10 years working experience 3 years as a financial manager, preferably in an engineering environment
Contract/suplier management Corporate Governance Financial management