Crescent Star Pty Ltd, a privately-held investment company based in La-Lucia, Durban. The company is seeking a Legal Advisor with Commercial & Business experience to advise and manage its legal requirements of its investments and assets providing leadership and direct engagements with its extern
returns for specific entities Preparing for year end audit for specific entities Preparing cash management financial statements of specific entities Reviewing budgets for specific entities Assisting with preparing Group
Executive. Initially Accounting for various legal entities Hire Purchase Agreement Process Assisting with returns for specific entities Prepare for year-end audit for specific entities Preparing of cash management financial statements of specific entities Reviewing of budgets for specific entities Assisting Assist with preparing
is within one of the subsidiaries, however, the entity is quite complex and will require a Governance with Listed Entities and complex Joint Ventures. Some of the functions will include: Entity Management
is within one of the subsidiaries, however, the entity is quite complex and will require a Governance with Listed Entities and complex Joint Ventures. Some of the functions will include: Entity Management
provide an accounting service to the property owing entity, as well as to assist the director with all his Account and financial control of the property entities. Drafting of budgeting schedule and the financial
Regularly follow-up on outstanding queries with other entities who are involved with specific requests. Adhere his / her capability. Escalate to other support-entities (colleagues, 2nd and 3rd tier support, other service request-resolution to ensure resolutions (own or other entity) are achieved within contractual service-level different solutions and/or escalate to other support-entities to ensure that further repeats are minimised or
queries – Related to allocation between group entities Intercompany reconciliations Matric BCom finance
offshore/onshore financial statements Maintaining entity ledgers on a regular basis ensuring they are up-to-date the Investment Accounting team to ensure that all entity ledgers are up to date by reconciling investment
reconciliations, and reporting for the various related entities. The successful individual will take initiative reporting and recons Trial balance management of all entities. Preparation of monthly income statement with