Internal Credit Limit Application forms are completed. Assist ECs with this when requested. Debt collection follow follow up: Review and circulate the debtor Market Report every 2 weeks. Meet with Business Development Managers overdue by more than 60 days to the Commercial Director for discussion with Business Development Managers
Manage financial performance, including budgeting, forecasting, and financial reporting. Implement cost-control operational efficiency and productivity. Establish key performance indicators (KPIs) and utilize metrics-driven metrics-driven decision-making to improve performance. Market Positioning: Lead efforts to bolster our market presence primary liaison with the management team, board of directors, investors, and other key stakeholders. Maintain
explanations. • Assisting branch managers with weekly operational forecasts. • Monitoring and reporting operational operational performance of different divisions and branches. • Preparing weekly planning reports and detailed detailed month-end planning reports. • Analysing weekly planning reports from the branches before sent to to Manco. • Presenting monthly operational performance in tabular format and graphs. • Liaising with finance finance department on the financial performance on operations: • Ensuring planning figures match figures
and reporting packs for the business. Prepare budgets and monitoring as required by the director. Work
responsible for overseeing the accurate and complete reporting of the group financial results. The role is varied projects form part of the day to day job. Key performance areas – Monthly reviewing of group books ensuring and completeness – Provision of monthly results – Assist with budgeting and forecasting – Deal with auditors implemented are working properly – Assist with and manage ad-hoc reporting – Assist with numerous ad hoc projects (CA/CPA) – Excellent understanding of financial reporting and statutory returns – Strong Excel skills essential
provided to management on the financial and asset performance of the dealership. The information must be provided procedures to assist dealership managers in relevant decision-making to reach performance targets. Manage communicate key performance priorities to members of the finance team. Document performance agreements with with all staff members. Schedule and conduct performance discussions with all finance team members. Identify Identify, agree and implement individual performance plans for members of the finance team. Identify the
transactions, and providing financial analysis and reporting to support decision-making processes. This role familiarity with real estate operations. Financial Reporting: Prepare and analyze financial statements, including real estate properties. Provide regular financial reports to management, investors, and other stakeholders forecasts for real estate properties. Monitor actual performance against budgeted figures and identify variances Financial Analysis: Conduct financial analysis and performance evaluations for real estate properties, including
To assist the Finance Dvision in recording and producing accurate and timeous financial information within within prescribed time limits. Assist with the preparation and reconciliation of Capital expenditure Inter-company balances, Payroll costs and Stock. Assist with the promotion and verification of data into Software. Assist with the review and implementation of internal controls and procedures; and assist with resolving External Audit queries. Assist with the verification of the Fixed Assets Register. Assist with resolving queries
organized financial records. Management Accounts: Assist in preparing basic Management Accounts or understanding understanding the concept of management account reporting. Collaborate with senior accountants to analyze financial data and records. VAT Reconciliations: Perform VAT reconciliations and ensure compliance with Support: Process payroll and handle PAYE submissions. Assist in preparing Personal Income Tax calculations and and submissions (under supervision). Assist in preparing Company Income Tax calculations and submissions
organized financial records. Management Accounts: Assist in preparing basic Management Accounts or understanding understanding the concept of management account reporting. Collaborate with senior accountants to analyze financial data and records. VAT Reconciliations: Perform VAT reconciliations and ensure compliance with Support: Process payroll and handle PAYE submissions. Assist in preparing Personal Income Tax calculations and and submissions (under supervision). Assist in preparing Company Income Tax calculations and submissions