methodology and IIA standards. Plan, execute, review and report audit assignments, (e.g. assist in planning audit review working paper files and internal audit reports) Lead and manage internal audit teams to ensure Audit Committee with timely audit reports. Attend and present Reports at Management and Audit Committee legislation and policies. Knowledge of King III report on corporate governance, financial management and advantage. Must have communication, co-ordination, report writing, presentation, strategic planning, leadership
legislation and policies. Knowledge of King III report on corporate governance, financial management and advantage. Must have communication, co-ordination, report writing, presentation, strategic planning, leadership methodology and IIA standards. Plan, execute, review and report audit assignments, (e.g. assist in planning audit review working paper files and internal audit reports) Supervise and lead internal audit teams to ensure Audit Committee with timely audit reports. Attend and present Reports at Management and Audit Committee
AVAILABLE TO START NOW) - Must have strong financial reporting • Functional experience in a multi-currency accounting accounting software, • Prepare and submit a group reporting package for consolidation by the group head office analysis, including budget and prior month variance reporting. • Intercompany transaction management, including intercompany schedules, matching and elimination, and reporting. • Support to group treasury by maintaining intercompany with external annual audits. • Ensure that all reports, figures, and postings are accurate and free of
AVAILABLE TO START NOW) - Must have strong financial reporting • Functional experience in a multi-currency accounting accounting software, • Prepare and submit a group reporting package for consolidation by the group head office analysis, including budget and prior month variance reporting. • Intercompany transaction management, including intercompany schedules, matching and elimination, and reporting. • Support to group treasury by maintaining intercompany with external annual audits. • Ensure that all reports, figures, and postings are accurate and free of
an individual to fulfill an 8-month contract , reporting to the CFO. The suitable candidate would have Financial Services an advantage. IFRS Expertise and Reporting. Strong International consolidations and treasury/banking advantageous. Responsibilities: Take charge of Group Reporting and Treasury: Lead and guide the Head Office finance hoc requests from CFO for analysis relating to Reporting or Treasury; Review and update banking facility
an 8-month contract to assist with the Group Reporting and Treasury function. Minimum Job Requirements: advantage. Competencies: Strong analytical and reporting capabilities. Exceptional accuracy and attention
The successful candidate will report to the Regional Financial Manager. Purpose of the Position: The variances. • Prepare and analyse regular statistical reports. • Be involved in the budget and forecasting processes
Responsibilities:
aging, reporting, management of debtor's days, new business costings, revenue and volumes reporting and
transactions, reconciling accounts, preparing reports, assisting with audits, and performing ad-hoc projects payments are matched to the JDE system Prepare reports for Insurance Ad hoc projects Assist Finance with