and financial records.
focused on trading agricultural commodities and managing logistics.
The successful applicant
Providing strategic financial guidance to senior management and executives. Evaluating investment opportunities
focused on trading agricultural commodities and managing logistics. The successful applicant will report Providing strategic financial guidance to senior management and executives. Evaluating investment opportunities
Assistant Management Accountant, Berea & Musgrave, Durban City, Company Name: BIC. Young male candidate
an effective communicator with excellent time management skills and has the ability to thrive under pressure Financial Statements on CaseWare
Reference: NFR003648-IZ-1 Tax Manager needed, if you are a fully rounded tax professional, do not miss and Responsibilities: If you are a skilled Tax Manager, then this opportunity might just be right for
JSE-listed manufacturing company as an Assistant Financial Manager Job & Company Description: Our client commitment to quality and excellence. The Assistant Financial Manager will report directly to the Head of Finance; financial statements, and the oversight of asset management reports. Job Experience and Skills Required: relevant experience as a Senior Accountant / Assistant FM Apply Now If you are interested in this opportunity
join a supply chain powerhouse as an Assistant Finance Manager. This role is crucial for maintaining entries and financial records. Prepare monthly management reports and annual budget forecasts. Reconcile Reconcile general ledger and broker accounts regularly. Manage petty cash, vendor payments, and daily cash reports
sector, is currently seeking a talented Assistant Financial Manager to join their rapidly expanding operations operations. Job Description: As an Assistant Financial Manager you will be working alongside the CFO in regulatory monthly and annual reporting. Prepare monthly management reports and annual budget forecasts. Reconcile Reconcile general ledger and broker accounts regularly. Manage petty cash, vendor payments, and daily cash reports
monthly and annual reporting. Prepare monthly management reports and annual budget forecasts. Reconcile Reconcile general ledger and broker accounts regularly. Manage petty cash, vendor payments, and daily cash reports