To assist the Group Financial Manager and the Senior Accountant, where relevant and be accountable for
To perform reviews over the work of the assistant account and any other junior members of the tea
centre management and engagement with
terms of implementation of mitigating controls. Assist with internal control testing; Liaise with the Regular meetings at least once a month with material planners to determine potential obsolescence due to changes as discussed and agreed with TV-3-R-x; Ad-hoc projects as required.
terms of implementation of mitigating controls. Assist with internal control testing; Liaise with the Regular meetings at least once a month with material planners to determine potential obsolescence due to changes as discussed and agreed with TV-3-R-x; Ad-hoc projects as required.
terms of implementation of mitigating controls. Assist with internal control testing. Liaise with the Regular meetings at least once a month with material planners to determine potential obsolescence due to changes as discussed and agreed with TV-3-R-x; Ad-hoc projects as required. NB: By applying for this role,
sector who are looking to identify a CA(SA) to assist them with Risk and Control mitigation through their Provide risk management support and guidance to the project team, business and across multiple divisions. - business processes Requirements: - CA(SA) - SAP Project implementation, Risks and Control - Proactive management assessment of ethics, compliance and commercial risks - Project management skills see Duties & Responsibilities
Recruitment Services is assisting a large RETAIL COMPANY based
Assist with AFS/notes for Guild companies.
Prepare cash flow analysis and projections daily/monthly/quarterly cashflow packs for group on monthly basis.
Assist with audit year end requirements.
relationships with clients, managing client projects, and ensuring that projects are executed on time and within communications Finance: Programme cost management Assist with production and distribution of campaign marketing management: Plan, execute and coordinate multiple projects Work with team members to meet the daily, weekly and monthly KPI’s Experience in managing client projects Ability to work in a team environment and collaborate verbal) Note : This is initially a three month project to start immediately with potential to be a permanent
submission of the monthly consolidated VAT return. Assist the financial Manager in upgrading or changes to the accounting system. Funder Invoicing Review project general ledger income statements to validate allocation requirements. Prepare asset listings per site/project for identification and control purposes. Obtain off from the project administrators quarterly. Maintain a non-asset listing per project of all tangible dynamic environment. Exposure to a multiple-project environment with multiple bank accounts. Pastel
submission of the monthly consolidated VAT return. Assist the financial Manager in upgrading or changes to the accounting system. Funder Invoicing Review project general ledger income statements to validate allocation requirements. Prepare asset listings per site/project for identification and control purposes. Obtain off from the project administrators quarterly. Maintain a non-asset listing per project of all tangible dynamic environment. Exposure to a multiple-project environment with multiple bank accounts. Pastel
to the Financial Director. Forecast cashflow projections daily and monthly. Assessing international and and local payments based on cashflow projections. Regular meetings with the Credit, Stock and Accounts Finance departments when the Manager is on leave. Assisting Legal with financial reports and information. required by external finance providers. Ad hoc – assisting Credit Manager with assessing credit limits on input from Senior Management. Needs to run with projects and implement decisions. Strong business acumen