role of Finance Director. This role takes ownership of the entire finance, auditing, accounting and operational advice and support to the board and Executive Director and the management team Drive and develop financial presentations, provide secretarial function to Finance, Audit, Risk and IT Board Committee Oversee BBEEE verification financial and operational information to the Executive Director and make recommendations Facilitate and develop risk management function Support to Executive Director and Grant Managers in all negotiations with lenders
Manager within Internal Audit and Risk Advisory to join our client within the Audit Space. The ideal candidate experience in internal audit, risk management and will work in partnership with the Directors and the business internal audit and risk management engagements from start to finish Develop detailed audit and risk management the primary point of contact for clients during audit and risk management engagements Implement quality standards Provide technical advice and support to the audit and risk management team and clients Requirements:
An opportunity for a Financial Manager to assist the Head of Finance with accounting operations is available under pressure, send me your CV Responsibilities: Assist in overseeing the operations of the accounting followed Develop and drive continuous improvement Assist in the management of various financial accounting future trends Facilitate the half-year and year-end audit process Liaise with external and internal auditors auditors Manage Governance and Compliance Oversee performance management of finance staff, including setting
for annual audit Performing financial calculations, particularly relating to inventory Assist with annual annual budgets and quarterly forecasting Assist in the preparation of financial reports and statements Follow to relevant laws, regulations and best practices Assist Senior Accountant and CFO where needed Requirements:
Creditors Fixed Asset Register Assist with month end roll over procedures Assist in providing information and reports 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:
related tax matters Preparation of all funds for audit within the required deadlines Liaising and working of any other relevant regulatory reporting Assist with audit pack completion Managing financial and business
information, compile budget and forecast workings, and perform monthly reporting on key financial metrics - Ensure controls are in place - Liaise with and assist in the annual external audit process, develop and modify financial and ensure adherence to ERP system controls - Assist with business decisions to ensure profitable transactions
which are limited Responsible for co-ordination of audits Responsible for administration of creditors payments payments Stakeholder liaison and service delivery Assist in preparation of shareholder reports Liaise with
accounts, identify where reconciling items exist Assist with monthly VAT submissions, monthly VAT reasonability SAICA or SAIPA articles Previous experience in performing payroll reconciliations is highly advantageous
procedures and manuals Conduct and report on compliance audits at Adviser offices Requirements: Relevant qualificatio