as well as internal stakeholders. To perform financial analysis on business data to influence and communicate business's financial management strategy. Job Responsibilities: Gather relevant information from sources BA return information obtained to the management accounts; analyze and review information to ensure accuracy opportunities to improve business processes and systems by identifying and recommending effective approaches analyzing and interrogating financial information. Ensure that financial business analysis is conducted
as well as internal stakeholders. To perform financial analysis on business data to influence and communicate business's financial management strategy. Job Responsibilities: Gather relevant information from sources BA return information obtained to the management accounts; analyze and review information to ensure accuracy opportunities to improve business processes and systems by identifying and recommending effective approaches analyzing and interrogating financial information. Ensure that financial business analysis is conducted
well as internal stakeholders.
To perform financial analysis on business data to influence and communicate stakeholders by adding value to the business's financial management strategy.
Job Respon Responsibilities:
Gather relevant information from sources and stakeholders to fulfill regulatory BA return information obtained to the management accounts; analyze and review information to ensure accuracy opportunities to improve business processes and systems by identifying and recommending effective approaches
managing the company's cash flow, ensuring accurate financial records, and optimizing liquidity. This position background in financial analysis, cash management, and compliance to contribute to the financial stability maintain financial records and reports. Ensure compliance with accounting standards and financial regulations regulations. Identify and assess financial risks and implement risk mitigation strategies. Administer and portfolio. Maintain and update the treasury management system and banking platforms. Handle foreign currency
the company's cash flow, ensuring accurate financial records, and optimizing liquidity. This position background in financial analysis, cash management, and compliance to contribute to the financial stability funds are available.
management experience.
Transactional management role in the banking or financial services industry of which 2-3 years experience analytical skills with the ability to interpret financial data and identify trends
currently enrolling or studying towards Post Graduate Diploma in Accounting (PDGA) - Intake for commencement