regulatory and statutory compliance, internal controls, cash flow management and taxation. This will be an opportunity
including income statements, balance sheets, and cash flow statements. Providing strategic financial guidance
including income statements, balance sheets, and cash flow statements. Providing strategic financial guidance
Collect outstanding money within granted terms. Cash Forecasting: Utilize your analytical skills to forecast
required Processing and reconciliation of Petty Cash/ Korridor accounts Processing payments and sending
accurately Duties and Responsibilities: Manage the cash book and handle multiple bank reconciliations Oversee must verify with Kontak Recruitment. Manage the cash book and handle multiple bank reconciliations Oversee
Group Treasury team Nexio Cash management Foreign currency management Cash Flow management and forecasting Management of Petty cash process and governance Proactive management of Nexio free cash flow through decision
Professional Authority, experience/heritage/knowledge, security/trust Minimum matric – tertiary qualification
Professional Authority, experience/heritage/knowledge, security/trust Own car Valid Driver's licence Minimum matric
Professional Authority, experience/heritage/knowledge, security/trust Own car Valid Driver's licence Minimum matric