property sector? We are seeking a highly skilled Group Financial Manager to join our client's team. This financial operations of their property-focused group. You will be responsible for overseeing all financial
Client in the logistics Industry is looking for a Group Financial Accounts on a TEMP basis ( BE AVAILABLE • Prepare and submit a group reporting package for consolidation by the group head office team, including Support to group treasury by maintaining intercompany loan schedules, and assisting in group cashflow management
Platforms (Product) | Durban/CT/Joburg based | Hybrid Ignite innovation and redefine what's possible in technology
mechanical, hydraulic and auto electrical systems (ignition, starting, charging, illumination) experience
commercial, finance HR, legal and operations. The Group has gross revenue of over USD 500 million, and consists professionals directly (group finance) and indirectly (regional finance teams) to produce the Group's required reporting outcomes. Responsible for producing consolidated group annual financial statements, monthly management the integrity of reported information. Manage the group external audit process. Drive reporting process for decision making. Design, manage and monitor a group internal financial control framework to ensure financial
in Phoenix is seeking a dynamic and experienced Group Accounts Payables Specialist to join their team validate debt balances. Collaborating with the group operation manager to standardize rebates and update for new suppliers and obtaining approval from the group operations manager. Completing all credit applications
understanding of consolidation techniques, inter- and intra-Group eliminations
Client in the logistics Industry is looking for a Group Financial Accounts on a TEMP basis ( BE AVAILABLE • Prepare and submit a group reporting package for consolidation by the group head office team, including Support to group treasury by maintaining intercompany loan schedules, and assisting in group cashflow management
advantageous. Responsibilities: Take charge of Group Reporting and Treasury: Lead and guide the Head Complete the Group ITR14 Return, including International tax and S9D implications; Prepare group Annual Financial Prepare Head Office budget and consolidate with group Budget Pack; Authorise online banking payments; external auditors; Assist with internal audit of the groups entities; Review legal agreements for tax implications/accounting
bilities: