contract position for a Financial Accountant / Controller . Successful candidate will report to the Finance
qualifications would be an advantage) Experience with debtors recons would be an advantage, as would be experience
system. Debtors: Manage daily revenue capture via bank transactions. Ensure timely invoicing, debtor reconciliations
Finance and guide and support a team of Financial Controllers. 8 Month contract position for CA(SA) Finance Finance and guide and support a team of Financial Controllers. About the role The Finance Manager is responsible candidate will work closely with the financial controllers and Head of Finance to ensuring robust financial provide guidance and support to the financial controllers in the team. Work Experience 2 years post articles reconciliations. Driving strong governance, financial control and process in the respective business areas Variance
role in ensuring effective risk management and control within our organization. Your responsibilities key stakeholders to enhance assurance over the control environment. Insightful Reporting: Craft detailed
role in ensuring effective risk management and control within our organization. Your responsibilities key stakeholders to enhance assurance over the control environment. Insightful Reporting: Craft detailed
deliver robust reporting, analysis and financial control of operating/capital costs and also provides essential evaluation methods
update standard operating procedures. Monitor and control expenses within the budget. Maintain accurate documentation projects. Develop policies and procedures to enhance control and compliance. Strategy: Regularly review operations
update standard operating procedures. Monitor and control expenses within the budget. Maintain accurate documentation projects. Develop policies and procedures to enhance control and compliance. Strategy: Regularly review operations
the Finance Team; ensuring internal financial controls are properly designed and implemented; general Processing of payroll journal and reconciling of all control accounts. Monthly pension fund calculations and