policies, systems, procedures and activities of the company While performing the duties of this job,
the
monthly, quarterly and annual reports for the company, and the Auditor General
? Contract Duration: for the company and its presentation to the Finance and Investment Sub-Committee of the company Board.
Provide
Provide direction towards the management of company financial and accounting systems.
Ensure creation, production and distribution of all the company’s Financial and Accounting Reports to the appropriate
development strategy when required for the portfolio companies
Report Writing:
forecasting, and financial planning, to ensure the company''s financial health and sustainability projects that the company is involved with.
Be the lead when the company goes through auditing and budget records.
Represent the companys budgets and finances to relevant stakeholders op financial strategies in alignment with the company''s long-term goals, including capital structure reports, and analysis that provide insight into the company''s financial performance.
Ensure
a business development strategy for portfolio companies when required Develop broad knowledge of corporate appropriate risk mitigation measures for portfolio companies Report Writing: Evaluate new deals from Pre-Investment portfolio companies using approved financial modelling Analyze financial information, such as company results determine the commercial viability of portfolio companies Consider economic implications that might affect affect the performance of portfolio companies Participate in due diligence exercises at the request of team
forecasting, and financial planning, to ensure the company's financial health and sustainability. Establish different projects that the company is involved with. Be the lead when the company goes through auditing. financial reports and budget records. Represent the company's budgets and finances to relevant stakeholders Develop financial strategies in alignment with the company's long-term goals, including capital structure optimization reports, and analysis that provide insight into the company's financial performance. Ensure compliance with
liquidation of companies. Registration / termination of trusts. Acting as the company representative Public Officer on client entities. Maintenance of company records in accordance with legislative, internal meetings. Ensuring regulatory compliance with Companies Act, Trust Property Control Act, FICA, FATCA/CRS the team and the wider Group Knowledge of the Companies Act, Trust Property Control Act, FICA, FATCA/CRS
liquidation of companies. Registration / termination of trusts. Acting as the company representative Public Officer on client entities. Maintenance of company records in accordance with legislative, internal meetings. Ensuring regulatory compliance with Companies Act, Trust Property Control Act, FICA, FATCA/CRS the team and the wider Group Knowledge of the Companies Act, Trust Property Control Act, FICA, FATCA/CRS
Woodmead
Company Description
Part of a group of companies specializing in the of high-end audio-visual system-solutions. The company manages distribution networks for suppliers of
payroll to bank deposits and budgets. Provide the company with accurate quantitive information on the financial liquidity, and cash flows and make sure that the company is complying with tax regulations • Manage all sheets and profit/loss statements. Report on the company's financial health and liquidity. Audit financial
Company and Job description:
This global conglomerate in the consumer goods space
looking for a Finance Manager to join them. This company is a performance driven and excellence focused
certainly take your career to the next level. This company has experience stable growth throughout the years