seeking a talented and experienced TAF and EandS Manager to join their team , a leading pan-African investment TAF and EandS Manager , you will play a pivotal role in managing the technical assistance facility ("TAF") robust environmental and social (EandS) risk management across our investment portfolio. The successful TAF Administration Management: Identify and evaluate relevant technical assistance (TA) projects for prospective impacts, and case studies. Manage the annual audit of the TAF and assist in its administration, including
a strong background in finance, accounting, and business management. They will be responsible for overseeing Responsibilities: - Manage and oversee the preparation of financial statements, budgets, forecasts, and management reports identifying areas for improvement - Process the daily accounting receivable transaction to the company -Update Maintenance of the accounts receivables list - Implement the accounting standards for accounts receivable and their proper ledger accounts. - Ensure correct invoice entries into the accounts receivable module of
a strong background in finance, accounting, and business management. They will be responsible for overseeing Responsibilities: - Manage and oversee the preparation of financial statements, budgets, forecasts, and management reports identifying areas for improvement - Process the daily accounting receivable transaction to the company -Update Maintenance of the accounts receivables list - Implement the accounting standards for accounts receivable and their proper ledger accounts. - Ensure correct invoice entries into the accounts receivable module of
a highly skilled and experienced individual to manage their financial records and ensure accurate bookkeeping reconciliations. Cash books for 2 companies ( 5 Bank Accounts) Authorizes local payments. Prepares and oversees Update finance lease for both divisions. Process accounts payable and receivable, including invoicing and reconciliations and ensure accurate cash flow management Prepare and review financial statements, including including balance sheets and income statements Assist in budgeting and forecasting processes Collaborate
a highly skilled and experienced individual to manage their financial records and ensure accurate bookkeeping reconciliations. Cash books for 2 companies ( 5 Bank Accounts) Authorizes local payments. Prepares and oversees Update finance lease for both divisions. Process accounts payable and receivable, including invoicing and reconciliations and ensure accurate cash flow management Prepare and review financial statements, including including balance sheets and income statements Assist in budgeting and forecasting processes Collaborate
build relationship with Underwriters and assist in change management (including training) when onboarding key individual accounts: Analyse and pricing of individual short tail single-risk accounts typically with pricing reviews on accounts with high and extreme materiality to ensure that all accounts priced adheres Insurance Pricing Guidelines. Provide pricing assistance to Reinsurance Treaty Team during busy periods business planning, recalibration: Contribute and manage the annual planning (profitability) review of portfolio
build relationship with Underwriters and assist in change management (including training) when onboarding key individual accounts: Analyse and pricing of individual short tail single-risk accounts typically with pricing reviews on accounts with high and extreme materiality to ensure that all accounts priced adheres Insurance Pricing Guidelines. Provide pricing assistance to Reinsurance Treaty Team during busy periods business planning, recalibration: Contribute and manage the annual planning (profitability) review of portfolio
financial insights and recommendations to the management team. Responsibilities: Analyse financial data accurate and timely financial reports to the management team. Prepare financial forecasts, budgets, and analysis to evaluate business opportunities and risks. Assist in the preparation of monthly, quarterly, and annual performance against key performance indicators. Assist with ad hoc financial analysis and projects as Requirements: Bachelor's degree in Finance, Accounting, or related field. At least 3 years of experience
reconciliations, queries, credit limits, opening accounts, CGIC). Control company card transactions (includes Bi-weekly and quarterly presentations. Hand over account payments on time for checking and payment processing Mathematics and Accounting Accounting Diploma Experience needed: Proven administration or assistant experience
qualified and experienced mid-management role responsible for overseeing and managing the day-to-day operations operations, ensuring efficiency, and managing key support functions, including Finance, Risk and Compliance to hear from you. Responsibilities: Oversee and manage financial planning, budgeting, and forecasting robust internal controls and compliance programs Manage relationships with external auditors, regulatory Requirements Relevant Bachelor's Degree in Finance, Accounting, or related field CA (SA) 3-8 years of experience