with GAAP and other regulatory requirements. Coordinate and manage the annual audit process. Maintain and excellence within the finance department. Coordinate with other departments to ensure alignment of
investment papers, and other tasks as needed. Coordination of development phase tasks relating to ESIAs proposals; selection and appointment of consultants; coordination of consultant activities). Preparation of construction documentation. Organise and coordinate meetings, including coordinating across multiple schedules. Draft
investment papers, and other tasks as needed. Coordination of development phase tasks relating to ESIAs proposals; selection and appointment of consultants; coordination of consultant activities). Preparation of construction documentation. Organise and coordinate meetings, including coordinating across multiple schedules. Draft
out project funding split, raise targets, and pre-sale targets. Analyzing project IRRS and net profit returns Reconciling sales system and accounting system. Reconciling 3rd party platform reports and providing sales splits splits. Review of payroll. Posting sales, interest, and transfer journals. Reporting and Pack Creation:
quotations, purchases, sales, receipts, payments etc. Extensive liaison with sales reps and reporting into use initiative and assist in all areas with the sales team and Head Office DUTIES Reporting to Head Office status Day-to-day job costings & quotations for sales reps Debtors and follow up on outstanding accounts
quotations, purchases, sales, receipts, payments etc. Extensive liaison with sales reps and reporting into use initiative and assist in all areas with the sales team and Head Office DUTIES Reporting to Head Office status Day-to-day job costings & quotations for sales reps Debtors and follow up on outstanding accounts
The Management Accountant will supervise and coordinate support staff for financial activities, ensure Preparation of annual financial statements and coordinating the audit process by liaising with auditors
out Project funding split, raise targets and pre-sale targets Analysing Project IRR's and Net profit returns Reconciling Sales system and Accounting system Reconciling 3rd party platform reports and providing sales splits splits Review of payroll Posting sales, interest and transfer journals REPORTING and PACK CREATION: Leadership
out Project funding split, raise targets and pre-sale targets Analysing Project IRR's and Net profit returns Reconciling Sales system and Accounting system Reconciling 3rd party platform reports and providing sales splits splits Review of payroll Posting sales, interest and transfer journals REPORTING and PACK CREATION: Leadership
reconciliations and ensure accurate expense booking Coordinate supplier payments and manage foreign currency