Planning Reviewing and analyse financial results Budgets and forecasts P&L report Cash Flow reporting
preparation Experience in cash flow management and budgeting is advantageous Property industry experience is
analysing subsidiaries financial results, forecasts and budget, P&L reports, Cash Flow, KPI's and deviation
and results-driven personality.
financial tasks, including financial analysis, budgeting, forecasting, and financial reporting. You will
documentation to the SARS Management of monthly budgets of the team Management of monthly cash targets
challenging subsidiaries financial results, forecasts and budget (P&L, Cash Flow, KPI's) including deviation
challenging subsidiaries financial results, forecasts and budget (P&L, Cash Flow, KPI's) including deviation
challenging subsidiaries financial results, forecasts and budget (P&L, Cash Flow, KPIs) including deviation