verbal communication skills for bid submissions. Time management abilities to handle tight bidding deadlines responses accordingly. Be able to work in a team environment. Be able to work Independently. Market related
the project is located.
weekly/monthly internal financial reports on: Working capital Margins & costs Cash conversion Debtors to work independently Financial reporting skills Employment type: In-office, permanent full time position
primarily responsible for providing accurate and timely company records by managing the accounting function analytical and ability to apply judgement Ability to work independently and drive delivery Excellent written communication skills Ability to build and maintain working relationships Ability to prioritize and delegate
and manage bank statements Ensure accurate and timely reconciliation of bank accounts Predict cash needs Accounts Payable. Generate and review monthly/annual working documents for ledger accounts Coordinate communication audits efficiently Prepare audit documents and working files Draft annual financial statements Address
and manage bank statements Ensure accurate and timely reconciliation of bank accounts Predict cash needs Accounts Payable Generate and review monthly/annual working documents for ledger accounts Coordinate communication audits efficiently Prepare audit documents and working files Draft annual financial statements Address
and manage bank statements Ensure accurate and timely reconciliation of bank accounts Predict cash needs Accounts Payable Generate and review monthly/annual working documents for ledger accounts Coordinate communication audits efficiently Prepare audit documents and working files Draft annual financial statements Address
technical writing skills, with good communication and time management skills. Maintaining up-to-date knowledge statutory procedures and technical standards. Ability to work independently, but also to function well in a team engineering and non-engineering disciplines. Good working knowledge of Microsoft Office Suite, AutoCAD, Civil
and manage bank statements Ensure accurate and timely reconciliation of bank accounts Predict cash needs Accounts Payable. Generate and review monthly/annual working documents for ledger accounts Coordinate communication audits efficiently Prepare audit documents and working files Draft annual financial statements Address