precision, compliance, and transparency in financial reporting. A valid CPA designation is a mandatory requirement this position. DUTIES: Financial Management and Reporting: Develop and implement financial management strategies forecasting, and cash flow management. Prepare financial reports, statements, and analysis for the Board of Directors Ensure compliance with tax regulations, statutory reporting, and filing requirements. Stay updated on relevant Management and Reporting: Ensure accurate recording and reporting of donations. Prepare financial reports for the
management accounts, reconciliation and salary reports
Working with auditors as well as clients
Conducting analytical reviews alongside ancillary reports
Skills & Experience:
Financial Accounting
Financial Reporting
Excellent communication skills
Detail-oriented
management systems
cashbook report · Prepare month pay card report · Prepare monthly Fuel Report · Prepare PAYE/UIF report (Labour
open for an experienced Analyst. The position reports to the head of FP&A at this multinational company Consolidation and reporting at group level is not negotiable. If you are exceptional at reporting, can conceptualize Group treasury Cashflow reporting Forecasting Cost analysis Group management reporting Work with system teams
open for an experienced Analyst. The position reports to the head of FP&A at this multinational company Consolidation and reporting at group level is not negotiable. If you are exceptional at reporting, can conceptualize Group treasury Cashflow reporting Forecasting Cost analysis Group management reporting Work with system teams
– 5pm Job description: Report to FM Assist with month-end or quarterly reports. Assisting with month end and reporting Process invoices, create purchase requisitions and load payments to vendors Report on supplier processing of eWallet Cards Daily, Weekly and Monthly Reporting Invoicing goods in transit and creditor transactions
years of group reporting and financial analysis will fit this role perfectly. Reporting to the head of the incumbent will lead the consolidation and reporting procedure and accurately interpret and engage Group treasury Cashflow reporting Forecasting Cost analysis Group management reporting Work with system teams
years of group reporting and financial analysis will fit this role perfectly. Reporting to the head of the incumbent will lead the consolidation and reporting procedure and accurately interpret and engage Group treasury Cashflow reporting Forecasting Cost analysis Group management reporting Work with system teams
management, shareholder and lender funding and reporting. Manage the project companies' overall accounting management accounts, financial statements, and reports to stakeholders within set deadlines given. KPA's This includes financial administration, investor reporting and fund management. Review and manage compliance NSSF and WHT) Monthly EXCO report co-ordination Quarterly Board report co-ordination and presentation Management of Quarterly operational reports Funder, shareholder, board reporting obligations Plan, execute and