and Assurance Manager 1st Level Reporting Function: PE Financial Manager Position Job Title: Senior Cost Responsibilities · Developing and implementing cost standards for BOM materials and labour · Monitoring unit development, documentation, and implementation of standard work processes. · Maintains and ensures data accuracy accountant or in a similar position. Deep knowledge of standard costing and other cost modelling Knowledge in
Admin Assistant Required – PE, Port Elizabeth, Eastern Cape. Company Name: Vacancyscout Recruitment.
leading strategic initiatives to enhance the bank's operational capabilities.
Experience
Director will oversee the daily operations of the bank, ensuring efficiency and effectiveness in service and leading strategic initiatives to enhance the bank's operational capabilities. Experience & Qualification preferred). 10 years in banking operations, 5 years in senior management. Knowledge of banking operations, regulations analytical, and problem-solving skills. Proficiency in banking software. Excellent communication skills. Key Competencies: operational systems. Customer Service: Maintain high standards and resolve issues promptly. Team Development:
Director will oversee the daily operations of the bank, ensuring efficiency and effectiveness in service and leading strategic initiatives to enhance the bank's operational capabilities. Experience & Qualification preferred). 10 years in banking operations, 5 years in senior management. Knowledge of banking operations, regulations analytical, and problem-solving skills. Proficiency in banking software. Excellent communication skills. Key Competencies: operational systems. Customer Service: Maintain high standards and resolve issues promptly. Team Development:
Group Tax Compliance Consultant Ref: 4709 Location: PE/Gqeberha Salary: R25 000 per month commensurate with
industry experience essential Ref: 4682 Location: PE/Gqeberha Salary: R40 000 to R70 000 per month commensurate
years’ experience in General Ledger, Journals and Bank Reconciliation, Accounts Payable and Accounts Receivable years’ experience in General Ledger, Journals and Bank Reconciliation, Accounts Payable and Accounts Receivable controls Bank: daily allocation and monthly reconciliations of foreign currency bank accounts Bank: releasing
Bank Reconciliation:
Internal Auditing Dealing with difficult clients Banking & Financial Services Environment Managing a Internal Auditing (preferably within Banking) Must come from Banking or Financial Services environment 2