role. Develop supply plans Financial modeling Forecast product demand Data Analysis Root cause analysis
abroad. Develop supply plans Financial modeling Forecast product demand Data Analysis Root cause analysis
abroad Develop supply plans Financial modeling Forecast product demand Data Analysis Root cause analysis
based in the beautiful mother city. If Cash Flow Forecasting, P&L, IFRS compliance and Financial Statements Budget process and monthly P&L Forecasting Monthly Cash Flow Forecast Reconciliation of Balance Sheet
based in the beautiful mother city. If Cash Flow Forecasting, P&L, IFRS compliance and Financial Statements Budget process and monthly P&L Forecasting Monthly Cash Flow Forecast Reconciliation of Balance Sheet
flash on a monthly basis (including review of forecasting) Preparation of Group management accounts on a monthly basis (including review of monthly forecasting) Drafting and passing monthly Consolidation journals variance analysis as well as preparation of forecasting Skills & Experience: Attention to detail
flash on a monthly basis (including review of forecasting) Preparation of Group management accounts on a monthly basis (including review of monthly forecasting) Drafting and passing monthly Consolidation journals variance analysis as well as preparation of forecasting Skills & Experience: Attention to detail
budget process and monthly P&L Forecasting Monthly Cash Flow Forecast Reconciliation of Balance Sheet
budget process and monthly P&L Forecasting Monthly Cash Flow Forecast Reconciliation of Balance Sheet
and analysis of financial reports, budgets and forecasts Conducting financial reporting to head office submission and reporting Conducting monthly cash flow forecasting Additional ad-hoc duties as required by management