treasury needs i.e. Funding, liquidity, capital, asset/liability management, foreign exchange, cash management
treasury needs i.e. Funding, liquidity, capital, asset/liability management, foreign exchange, cash management
providing input on balance sheet management (assets and liabilities) Ensuring debt collection is controlled and protection of the division's resources and assets are adhered to Participating at Group level in manage key business risks, including safeguarding assets, risk mitigation and insurance Overseeing capital
providing input on balance sheet management (assets and liabilities) Ensuring debt collection is controlled and protection of the division's resources and assets are adhered to Participating at Group level in manage key business risks, including safeguarding assets, risk mitigation and insurance Overseeing capital
data against budgets and targets set by the head office, ensuring accuracy and adherence to guidelines ledger (GL) and ensure correct VAT allocation for asset purchases. Journal Entry Management: Authorize and balancing confirmations. Fixed Assets Register: Manage the Fixed Assets Register for the group, ensuring skills. Proficiency in accounting software and MS Office, particularly Excel. If you are interested in this
data against budgets and targets set by the head office, ensuring accuracy and adherence to guidelines ledger (GL) and ensure correct VAT allocation for asset purchases. Journal Entry Management: Authorize and balancing confirmations. Fixed Assets Register: Manage the Fixed Assets Register for the group, ensuring skills. Proficiency in accounting software and MS Office, particularly Excel. If you are interested in this
Provide tax planning advice to minimize tax liabilities Ensure compliance with record retention policies
Provide tax planning advice to minimize tax liabilities Ensure compliance with record retention policies
and proactive Accountant to oversee their fixed asset register, capex application process, fleet management and accuracy of the fixed asset register by reviewing and approving fixed asset transactions, reconciliations Provide training, guidance, and support to the fixed asset controller and brands to ensure adherence to best or finance roles. Strong understanding of fixed asset management, capex processes, and operational reporting
adequate controls for all revenues and protection of assets to improve the level of service Monthly bank reconcilliation applied and adhered to. Recommends to the area office improvements in accounting and internal control