We have an international opportunity for a Manager within Internal Audit and Risk Advisory to join our 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 and risk management engagements from start to finish Develop detailed audit and risk management plans, Supervise and mentor junior auditors and risk management staff Serve as the primary point of contact for
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 mentoring to all staff in the finance department Manage and ensure that all production processes and procedures and drive continuous improvement Assist in the management of various financial accounting functions Review
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 regulatory reporting Assist with audit pack completion Managing financial and business risk Requirements: Qualified
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 customer service to financial information users, and handle ad hoc information requests Requirements: - CA(SA)
Responsibilities: Manage and process cashbook function Process and reconcile Prepare management account journal journal entries Prepare various monthly Income Statement and Balance Sheet Schedules AP Foreign creditors end roll over procedures Assist in providing information and reports to Head Office Assist in preparation
Payroll: comparing payroll data to general ledger entries and posting corrections where needed Fixed asset monthly recon between fixed asset register and GL entries, and doing depreciation runs on the system Bank and final income tax submissions Monitoring and managing adherence to IFRS for SMEs / GAAP standards Analyse
successful business reporting into the Financial Manager. This team has worked together for over 9 years clients on ERP systems Processing bank and cash entries on a daily basis, and reconcile bank statements reports for monthly reporting Reviewing the information provided by staff (receipts, invoices, etc) are internal use and external insurance reporting. Managing and maintaining the sales ledger and ensuring team Escalating potential bad debt accounts to management Proactively investigate and resolve payment discrepancies
successful business reporting into the Financial Manager. This team has worked together for over 9 years clients on ERP systems Processing bank and cash entries on a daily basis, and reconcile bank statements reports for monthly reporting Reviewing the information provided by staff (receipts, invoices, etc) are internal use and external insurance reporting. Managing and maintaining the sales ledger and ensuring team Escalating potential bad debt accounts to management Proactively investigate and resolve payment discrepancies
banking Investigating and resolving all unknown bank entries and handling chargebacks from the bank Liaising
banking Investigating and resolving all unknown bank entries and handling chargebacks from the bank Liaising