Conceptualises and implements both long and short run marketing strategies, plans, programs and campaigns as agreed Business Practise's products and services. Executes marketing strategies, plans, programs and campaigns to generate Reseller Partners products and services. Ensures marketing strategies, plans, programs and campaigns are Vendor and Reseller Partner through various marketing channels and tools including social and digital Manages joint marketing funds, virtual wallets and other available funds to execute marketing strategies
Galencia has successfully developed various up market real estate projects in Johannesburg and Cape Town Entries 2. GL Management 3. Ensure data accuracy 4. CASH BOOK CAPTURE 5. STOCK AUDIT (monthly) 6. Sars VAT understanding of applicable financial regulations Market related based on experience and performance. If
profile, segmented into areas. Collaborate with marketing and Inside Sales Department to enhance customer Address customer concerns and inquiries related to vouchers and other payment methods. Provide data analytics Strong understanding of our customer base and the markets we operate in. Excellent communication and interpersonal
Reference: NFU011385-ZAN-1 Are you looking for an opportunity for growth in your career as a financial professional including income statements, balance sheets, and cash flow statements. Financial Analysis: Analyse data support decision-making. Cash Flow Management: Oversee banking operations, monitor cash flow, and reconcile CA(SA) Apply Now If you are interested in this opportunity, please apply directly. For more Finance jobs
and budgeted expenses to actual expenses. Ensure cash flow is according to the organization's operational Growth Decide on investment strategies by considering cash and liquidity risks. Makes or oversees any necessary future cash flow projections. Leading Financial Planning and Analysis Research revenue opportunities and
agile environment responsible for the timely completion of all commercial/financial related tasks to professional care and optimizes the project gross profit, cash flow and assets and financing instruments Actively identifying, evaluating and assessing risk and opportunities, strategies and response activities – taking regard with respect to all commercial risks and opportunities Supports Project Manager to select and involve Contract/Claim Management Project Risk & Opportunity Management Command over MS Office (Excel, Power
/>Support the front office in:
trading activity / cash flows / instruments booked and managed
/ Murex
derivatives, exchange traded futures, FX, Money Market instruments
in financial reporting, budget and forecasting, cash flow management, consolidations and taxation. The
with business leaders offering the incumbent an opportunity to put forward their impactful ideas.
promotion
/ FMCG space, look no further as this is the opportunity for which you have been waiting Qualification Financial reporting Cash flow management and payments If you are interested in this opportunity, please apply