the general running of the company alongside the Head of Property Management. Queries and Reconciliations utilities suppliers. ➢Month end processing including bank reconciliations. ➢Management and payment of VAT ➢Reforecasting of budgets per Property Owners, Directors or Head of Property Management instructions. ➢Capturing
payable, etc.) Ensure the correct allocation of bank statement transactions Preparation and submission Financial Manager and CEO Adherence to all quality standards and processes within the Budgeting and Finance are accurate and compliant with the applicable standards and regulatory requirements Provide operational
payable, etc.) Ensure the correct allocation of bank statement transactions Preparation and submission Financial Manager and CEO Adherence to all quality standards and processes within the Budgeting and Finance are accurate and compliant with the applicable standards and regulatory requirements Provide operational
implementation of advisory mandates, complying with risk standards, performing relevant financial modelling for transaction Corporate Advisory or Private Equity Firm, or a Banking Institution, or an Audit Firm's corporate finance
implementation of advisory mandates, complying with risk standards, performing relevant financial modelling for transaction Corporate Advisory or Private Equity Firm, or a Banking Institution, or an Audit Firm's corporate finance
financial performance. - Orchestrate the treasury and banking profiles with precision. - Prepare and present knowledge of International Financial Reporting Standards (IFRS) is essential. - A history of performing
Structure transactions to ensure quality deals are banked, lower impairments, improve investment collections/exits Development Finance Institution (DFI), commercial bank, and financial intermediary arenas Develop appropriate People and General Management: Set performance standards and demand high performance from subordinates
returns. Compile Bank file ensure changes in banking details are correctly captured Upload Bank file and 3rd 3rd Party Payments to banking platform Proactively investigate issues and/or errors that have been made
returns. Compile Bank file ensure changes in banking details are correctly captured Upload Bank file and 3rd 3rd Party Payments to banking platform Proactively investigate issues and/or errors that have been made
financial statements, various tax duties and auditing Bank reconciliations Invoice and statement checking Assists