Responsible for cash management, ensure bank account security, prepare cash plans, and improve the efficiency
To post journal entries, updating financial statements, maintaining accounts receivable and accounts payable, and preparing financial reports. Daily invoice payments and cash book processing; Monthly bank reconciliations; Monthly supplier reconciliations; Monthly credit card reconciliations; F
• Dealing with 3rd Party: Banks , Monthly Stats preparation Cash Monitor, staff management, Queries authorisations
Our client requires the services of a SAP Finance Support Consultant on a contract basis. POSITION : Contract role until July 2025 COMMENCEMENT : As soon as possible. THE ROLE: Resolving incidents and tickets for S4/Hana Finance modules handling, including GL, AP, AR, AA, and other integrations modu
The financial controller is responsible for the daily finance operations of all shipments allocated to them. This involves invoicing clients, processing invoices received from suppliers and overall cost management and profit maximisation. The finance team liaises with various shipping providers, sup
The financial controller is responsible for the daily finance operations of all shipments allocated to them. This involves invoicing clients, processing invoices received from suppliers and overall cost management and profit maximisation. The finance team liaises with various shipping providers, sup