Client in the logistics Industry is looking for a Group Financial Accounts on a TEMP basis ( BE AVAILABLE • Prepare and submit a group reporting package for consolidation by the group head office team, including Support to group treasury by maintaining intercompany loan schedules, and assisting in group cashflow management
Client in the logistics Industry is looking for a Group Financial Accounts on a TEMP basis ( BE AVAILABLE • Prepare and submit a group reporting package for consolidation by the group head office team, including Support to group treasury by maintaining intercompany loan schedules, and assisting in group cashflow management
advantageous. Responsibilities: Take charge of Group Reporting and Treasury: Lead and guide the Head Complete the Group ITR14 Return, including International tax and S9D implications; Prepare group Annual Financial Prepare Head Office budget and consolidate with group Budget Pack; Authorise online banking payments; external auditors; Assist with internal audit of the groups entities; Review legal agreements for tax implications/accounting
IN BUSINESS FOR OVER 30 YEARS AND IS PART OF A GROUP OF 350 RETAIL STORES ACROSS SOUTHERN AFRICA.
daily/monthly/quarterly.
Complete cashflow packs for group on monthly basis.
Assist with audit year end
Accountant for an 8-month contract to assist with the Group Reporting and Treasury function. Minimum Job Requirements: achieve results. The Job: Provide support to the Group Treasury function Review supporting documents and
IN BUSINESS FOR OVER 30 YEARS AND IS PART OF A GROUP OF 350 RETAIL STORES ACROSS SOUTHERN AFRICA.
DUR002943-SN-3 Our client, a division of a larger Listed Group, currently has a 6-month contract requirement. As
brings together the investment expertise of a select group of international money management firms and are
communicate and work across different cultures and social groups - Ability to plan activities and projects well