opportunity for a Manager within Internal Audit and Risk Advisory to join our client within the Audit Space. The who has 5 years' experience in internal audit, risk management and will work in partnership with the Directors Directors and the business in establishing and managing a high-quality advisory service. This is an international internal audit and risk management engagements from start to finish Develop detailed audit and risk management management plans, schedules, and resource allocations Contribute to the creation of service offerings
An opportunity for a Financial Manager to assist the Head of Finance with accounting operations is available financial reports, maintaining accounting records, and managing controls and budgets to mitigate risk. This role compliance with GAAP or IFRS. You will have excellent management, communication, and problem-solving skills, with computer literacy, especially in Excel and ERP systems. If you are results-oriented and able to work under under pressure, send me your CV Responsibilities: Assist in overseeing the operations of the accounting
I have an exciting opportunity for a Financial Manager, to join a leading Financial Services company based function, managing financial and business risk, working closely with the CFO, other financial managers and related tax matters Preparation of all funds for audit within the required deadlines Liaising and working relevant regulatory reporting Assist with audit pack completion Managing financial and business risk Requirements:
looking for an experienced Executive Financial Manager to ensure accurate financial reporting, compliance financial operations for both general financial management activities and specific projects with budgeting Responsibilities: - Manage month-end financial results, prepare disclosure information, compile budget and controls are in place - Liaise with and assist in the annual external audit process, develop and modify financial practices, and ensure adherence to ERP system controls - Assist with business decisions to ensure profitable
Responsibilities: Manage and process cashbook function Process and reconcile Prepare management account journal Asset Register Assist with month end roll over procedures Assist in providing information and reports to to Head Office Assist in preparation of Cash Flow Computations. Assist with preparation and coordination coordination of audit processes Assist with problem solving any financial ad hoc tasks as required Requirements:
This role takes ownership of the entire finance, auditing, accounting and operational portfolio of this Director and the management team Drive and develop financial and operational strategies Management and leadership approved delegation of authority Chair financial management meetings Prepare financial reports and presentations presentations, provide secretarial function to Finance, Audit, Risk and IT Board Committee Oversee BBEEE verification and managed Develop tools as required to provide essential financial and operational information to the
successful business reporting into the Financial Manager. This team has worked together for over 9 years records of all invoices Upload invoices to relevant systems for approval submission Coordinate with the Commercial invoicing both for suppliers and clients on ERP systems Processing bank and cash entries on a daily basis accounting system Reconciling staff expense reports for monthly reporting Reviewing the information provided Processing the expense report journals in the accounting system (DBC) Regularly maintaining the Fixed assets register
successful business reporting into the Financial Manager. This team has worked together for over 9 years records of all invoices Upload invoices to relevant systems for approval submission Coordinate with the Commercial invoicing both for suppliers and clients on ERP systems Processing bank and cash entries on a daily basis accounting system Reconciling staff expense reports for monthly reporting Reviewing the information provided Processing the expense report journals in the accounting system (DBC) Regularly maintaining the Fixed assets register
opportunity is available for a dynamic accountant to manage multiple entities within a company portfolio. You completed articles and be SAIPA qualified. You will manage different portfolio's involving various investments Responsibilities: Keep the accounts up to date Manage VAT submissions, PAYE submissions and all other functions Prepare monthly management accounts Analysis and reporting Manage and keep track of financial financial expenditure and processing of payments Manage and keep tracker of weekly operational items which are
Responsibilities: Support financial management of the business by producing monthly management accounts, annual budgets and expenses (burn rate) Consolidate financial information as requested for corporate reporting together requested management reporting Contributing to Profit and Loss identification and strategies Management of accounting clients, working capital management and other capital allocation KPI's Assistance with Claims reporting reporting Daily Accounts Payable and Bank payments management Requirements: Newly or nearlyqualified CA(SA) Knowledge