financial disciplines and controls throughout the Group and ensure that measures to mitigate risk are effectively effective and efficient financial management of the Group.
Seeking a dynamic Group Financial Accountant, with a hands-on approach in completing accounting transactions transactions and preparing management accounts for a group of entities. Your ability to build constructive
seeking a dedicated professional to fill the role of Group Reservations Specialist on a permanent basis. If Maintain comprehensive reports and records of all groups during and after their stay. Handle escalated queries
production facilities.
supporting group consolidation and implementation of reporting processes
Involvement in group year-end
102 working knowledge
Experience Auditing Group companies
Exposure to joint venture contracts
As the Senior Group Accountant you will be responsible for the following duties and responsibilities:
Oversee the Group Technical Accounting Policies and ensure theyre
CA(SA) or AGA(SA)
Proven experience in year-end group consolidation processes in audit or commerce
financial disciplines and controls throughout the Group and ensure that measures to mitigate risk are effectively effective and efficient financial management of the Group. Coordinate and facilitate governance and compliance and monthly basis. Ensure a sustainable working capital position by applying systematic cash flow forecasting
We're seeking a technically minded Group Accountant interested in joining a large, listed food manufacturer and enhance financial reporting processes, within Group. Some traditional Finance Manager functions. Provide
/>Oversee and manage the financial operations of the Group
Contribute and participate in strategic and
Oversee and manage the financial operations of the Group. Contribute and participate in strategic and tactical financial disciplines and controls throughout the Group and ensure that measures to mitigate risk are effectively effective and efficient financial management of the Group. Coordinate and facilitate governance and compliance the company in accordance with industry and the Group's frameworks in order to monitor and mitigate financial and monthly basis. Ensure a sustainable working capital position by applying systematic cash flow forecasting