specialized Agri-input companies is currently seeking a Group Financial Accountant to join their team of professionals professionals in the Northern Suburbs. These group companies own, develop, import and distribute a broad Europe and other emerging international markets. The Group financial accountant will be responsible for month-end This opportunity allows for the Group Financial Accountant to transition into a Financial Manager over management accounts Tax calculations Preparing group consolidated management accounts Year-end Audit:
passionate and experienced Group Training Officer to join their team. As a Group Training Officer, you will
seeking a Group Finance Manager to join their client's team of professionals in Cape Town. As the Group Finance Management: Contribute to the achievement of the group and individual company's business objectives by a specified cycle for the group and individual companies. Review the group and individual company's annual to achieve their objectives. Work closely with Group Heads of Department in order to provide actionable ensure they are complied with. Assess and monitor group and individual company's risk with Internal Audit
specialized Agri-input companies is currently seeking a Group Financial Accountant to join their team of professionals professionals in the Northern Suburbs. These group companies own, develop, import and distribute a broad Europe and other emerging international markets. The Group financial accountant will be responsible for month-end This opportunity allows for the Group Financial Accountant to transition into a Financial Manager over management accounts Tax calculations Preparing group consolidated management accounts Year-end Audit:
seeking a Group Finance Manager to join their client's team of professionals in Cape Town. As the Group Finance Management: Contribute to the achievement of the group and individual company's business objectives by a specified cycle for the group and individual companies. Review the group and individual company's annual to achieve their objectives. Work closely with Group Heads of Department in order to provide actionable ensure they are complied with. Assess and monitor group and individual company's risk with Internal Audit
OPERATIONAL: Cash Flow Management (Daily updates, Budget vs Actual tracking, driving key cash flow items) items) Cash Flow forecasting for Projects and Group Project Bank draw recons and submissions VAT facility
OPERATIONAL: Cash Flow Management (Daily updates, Budget vs Actual tracking, driving key cash flow items) items) Cash Flow forecasting for Projects and Group Project Bank draw recons and submissions VAT facility
insights to support decision-making Monitor and manage cash flow, budgeting, and forecasting Supervise and mentor
professional accounting services. Responsibilities: Daily cash book processing, reconciling and allocation. Raising
Analyst in the banking sector Proficient in analysing cash flows, leverage, collateral, and customer strength