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
Assist with annual financial statements/notes for Group companies. Prepare VAT recons and returns timeously schedules. Prepare budget for Group companies. Complete monthly cashflow packs for Group. Prepare/load creditor
IN BUSINESS FOR OVER 30 YEARS AND IS PART OF A GROUP OF 350 RETAIL STORES ACROSS SOUTHERN AFRICA.
daily/monthly/quarterly.
Complete cashflow packs for group on monthly basis.
Assist with audit year end
Accountant for an 8-month contract to assist with the Group Reporting and Treasury function. Minimum Job Requirements: achieve results. The Job: Provide support to the Group Treasury function Review supporting documents and
IN BUSINESS FOR OVER 30 YEARS AND IS PART OF A GROUP OF 350 RETAIL STORES ACROSS SOUTHERN AFRICA.
brings together the investment expertise of a select group of international money management firms and are