Financial Business Support : Manage accounting functions including maintenance of general ledger, accounts accounting. Manage monthly closing of financial records. Preparation and review of monthly management accounts Standards. Manage procurement policy compliance and the entire procure-to-pay process. Manage treasury relationships. Manage inter-company transactions and balances, and the reporting thereof. Manage fixed asset to Payroll. Management of trade exchange contracts and the accounting thereof. Management of corporate
currently seeking a seasoned Costing & Invoicing Manager for a respected player in the printing and packaging operational excellence and superior financial management within a dynamic business environment. We are sustainable solutions. The Costing & Invoicing Manager is responsible for overseeing the financial transactions policies and regulatory standards. This role entails managing a team of clerks and analysts, refining costing operational efficiencies and financial integrity. The manager plays a critical role in strategic decision-making
our experienced and dynamic management team, we offer in-depth assistance with auditing, accounting, taxation taxation, financial management and administration, secretarial services as well as the administration of deceased estates. WE ARE LOOKING FOR A TAX MANAGER TO JOIN OUR DYNAMIC TEAM. This is a full-time position schedules, tax representation/engagement letters. Assist with provisional tax calculations and email clients taxpayers make top-up payments where necessary Assist Tax Administrator with: uploading tax clients supporting
currently seeking a seasoned Costing & Invoicing Manager for a respected player in the printing and packaging operational excellence and superior financial management within a dynamic business environment. We are sustainable solutions. The Costing & Invoicing Manager is responsible for overseeing the financial transactions policies and regulatory standards. This role entails managing a team of clerks and analysts, refining costing operational efficiencies and financial integrity. The manager plays a critical role in strategic decision-making
Recoveries Manager based in Durban for one of our big financial clients. Job Purpose: Managing the Recoveries matters/losses (Recoverable - & Bad Debt), Sell Assist & Private offers with losses, Recovery of Quick arrangements in line with mandates set by the company. • Manage and lead a team of consultants to achieve agreed
Managing the Recoveries team to ensure that the desired targets are achieved and maintained, and relevant maintained. Effectively manage the Recoverable Bad Debt portfolio Effectively manage the Bad Debt portfolio Effectively manage Sell Assist / Marketing & Private offers with shortfalls/losses Effectively manage the portfolio Effectively manage the recovery of Personal Loan arrear accounts People Management and leadership
Cornubia area is looking for a Costing and Invoicing Manager with a minimum of 5 years' Costing and Invoicing Detail-oriented and highly organized, with the ability to manage multiple priorities and meet deadlines. Problem-solving advantage Familiarity with ERP systems and production management software. The salary is negotiable depending
team as a Debtors Manager. The ideal candidate must have a strong background in managing and controlling implementing effective credit control procedures and managing the debtors team. One of the additional requirements Internal Credit Limit Application forms are completed. Assist ECs with this when requested. Debt collection follow every 2 weeks. Meet with Business Development Managers every two weeks, to review their proposed action Director for discussion with Business Development Managers in their weekly meetings. Issue account statements
The preferred requirements of a Group Financial Manager are as follows: Chartered Accountant (SA). Minimum
job description for the position of Team Leader Management Accountant. Here's a summary of key points and qualifications required: End-to-End Accounting: Managing the entire accounting process for allocated companies accuracy and timeliness of entries using Xero. Management Information: Collaborating with the Financial produce accurate Management Information for clients. Team Management: Leading and managing the offshore team budgets for clients. Monthly Management Accounts: Producing monthly management accounts, handling accruals