Qualified CA(SA) / CIMA Minimum of 2 years in a management position 5 – 10 years post articles experience
career move and further your skills as a Financial Manager this is the opportunity you have been waiting for
successful candidate will play a crucial role in managing our financial operations, ensuring compliance sustainability. Key Responsibilities: Oversee and manage the financial operations of the institution, including financial planning and resource allocation. Monitor and manage cash flow to ensure the institution's financial Provide financial guidance and support to senior management and the board of directors. Stay updated on industry
Provide strategic guidance and support to senior management on financial decisions. Ensure compliance with Minimum of 2 years in a management position Proven experience in financial management and leadership roles industry. Strong understanding of financial markets, products, and regulatory frameworks. Exceptional analytical
Provide strategic guidance and support to senior management on financial decisions. Ensure compliance with Minimum of 2 years in a management position Proven experience in financial management and leadership roles industry. Strong understanding of financial markets, products, and regulatory frameworks. Exceptional analytical
within Balance Sheet Management. You will assist front office trading by managing trades, cash flows, platform. This support is crucial for the portfolio managers of the Liability Driven Investments trading desk discrepancies. Manage operational functions effectively to minimize financial losses. Manage transactional processes for complex OTC derivatives, structured products, and bonds. Strong knowledge and understanding
education sector, and will be responsible for managing all financial activities, including budgeting sustainability of the institution. Key Responsibilities: Manage and oversee the financial operations of the institution financial policies and procedures. Monitor and manage cash flow to ensure financial stability and liquidity Provide financial guidance and support to senior management and the board of directors. Collaborate with departments to support financial planning and budget management. Stay updated on industry trends and regulatory
to join our dynamic team. Key Responsibilities: Manage cash flow by monitoring, analyzing, and forecasting forecasting financial data. Execute daily cash management operations, including reconciliations and fund transfers
Duties Perform financial analysis, reporting and management activities Review weekly cash flow projections projections Produce and distribute monthly management packs to agreed time frames Attend to bi-annual property
Duties Perform financial analysis, reporting and management activities Review weekly cash flow projections projections Produce and distribute monthly management packs to agreed time frames Attend to bi-annual property