Reference: NFU011416-JST-1 Become a Project Accountant at a leading education service organisation in domain expertise and a fully developed quality management system, my client focuses on providing specialized development, job creation, project management, and funding mobilization. The Project Accountant will be reporting responsible for the financial operations for specific projects and the company's overall financial health, encompassing budgets, forecast financial performance, oversee project accounting, ensure accurate general ledger entries
contribute to project success. Furthermore, supporting the respective Project Manager in all other areas objective of executing the project according to the defined Project Management (PM) standards, customer all commercial aspects Ensures the accuracy of project books and records, including recording of such Ensures all related Project Reporting and Controlling activities Supports the Project Manager that the financial according to set targets are managed with due professional care and optimizes the project gross profit, cash flow
Reference: NFU011416-JST-1 Become a Project Accountant at a leading education service organisation in domain expertise and a fully developed quality management system, my client focuses on providing specialized development, job creation, project management, and funding mobilization. The Project Accountant will be reporting responsible for the financial operations for specific projects and the company's overall financial health, encompassing budgets, forecast financial performance, oversee project accounting, ensure accurate general ledger entries
Responsibilities:
an experienced and highly motivated Financial Manager to join a financial services company. This role successful candidate will play a crucial role in managing financial operations, ensuring regulatory compliance financial planning. Key Responsibilities: Oversee and manage the financial operations of the company, including recommendations to senior management for strategic decision-making. Manage and mentor a team of finance and regulatory bodies as required. Monitor and manage cash flow, investments, and financial risk. Qualifications:
landscape
creditors, cashbook and general ledger. • Review management accounts before accounts are sent to the Financial all the companies. • Develop and implement new projects from time to time. • Provide training and guide
reporting Preparation and analysis of monthly management accounts Assistance with review and preparation reconciliations “A” signatory on EFT payments Ad hoc projects for CFO and GFM Budget vs Actual variance analysis Reporting Compliance and Risk Management Strategic Financial Management Process Optimization Leadership
CSi Properties provides well-established rental management and sales services to property investors. Our Retirement Village Houses and apartments We currently manage a great variety of properties in numerous residential clients (Owners, Operators, RV Admin, Portfolio Managers, Rentals). Key Responsibilities: Statement Run additional charges. Schedule meetings with portfolio managers for the bill button to be pressed. Send reminder Insurance, Clearance/New Dev, Meter readers, Estate Managers, and RV admin staff for their deadlines every
are reconciled daily and errors are raised with management Correspondence with clients on queries pertaining working papers are completed and handed to Office Manager Ensure following ledger accounts are reconciled Prepare management accounts by no later than 2 weeks after month end Meeting with Office Manager to ensure ensure packs are accurate and complete Management Account packs to be with Head Of Department at least relevant HOD's to discuss management accounts monthly Financial Year End: Assist manager in preparing audit