My client in the property management and development sector has a great opportunity for a detail-oriented in a fast-paced environment. Responsibilities: Manage financial records and ensure all financial transactions maintain financial reports, statements, and records Managing accounts payable and accounts receivable Reconciling
bank recons are accurate and timeous Cashflow management and forecasting of cash requirements Preparation month and annual working papers Liaison with fund managers, custodians and brokers as required Accurate loading compliance reporting submitted Preparation of monthly management accounts, cashflow statements Compliance and and unitisation Highly numerical Excellent time management and planning skills High attention to detail
a Governance Assurance Lead, experienced with management and coordination of corporate & regulatory driven. Responsibilities: 1 st Line oversight and management of Centralized Governance controls; Monitoring CIMA, ACCA or CIA designation Minimum of 5 years management experience in Corporate Governance related roles roles Demonstrable business analyst/project management experience Governance / Internal audit experience
ideal individual will possess exceptional time management, leadership, and planning abilities, along with robust scoping and risk assessment efforts for management's SOX annual planning Perform walk-throughs of and maintain up to date documentation Lead and manage updates/development of current risk and control and multi-task Ability to adjust priorities and manage time appropriately Strong interpersonal skills
analysis of costs and financials and project management, amongst other tasks. Responsibilities: Assist performance based on internal and external information Manage internal cost analysis of quality vs cost Analyse to SARS legislation on processes Requirements: Management Accounting Diploma or Degree Must have CIMA or
to clients Handle client queries Underwrite and manage client renewals Handle new application and quotations appointments with clients - site meetings Maintain systems Manage detailed records - Administrative Documents Ensure working relationship with insurers Handle reports Manage client retention Understand policy wording and
to clients Handle client queries Underwrite and manage client renewals Handle new application and quotations appointments with clients - site meetings Maintain systems Manage detailed records - Administrative Documents Ensure working relationship with insurers Handle reports Manage client retention Understand policy wording and
of balance sheet, reconciling with trial balance Manage creditors recons, detailed age analysis to supplier group cash flow plan Liaise with Group Financial Manager and Group Financial Director on payments held and recons and evaluate group company book currency Manage all returns, credit note requests Review debtors
annual accounts and final trial balances ready for management accounts and financial statements Prepare and for SMEs Assist with Provisional Tax Computations Manage Treasury process according to cash flow requirements train the Finance team Support the Group Financial Manager with any tasks as required Requirements: Minimum
analysis of costs and financials and project management, amongst other tasks. Responsibilities: Assist performance based on internal and external information Manage internal cost analysis of quality vs cost Analyse to SARS legislation on processes Requirements: Management Accounting Diploma or Degree Must have CIMA or