client is seeking a Senior Corporate & Project Finance Analyst to join their dynamic team. In this role renewable sector. Reporting to the Director of Finance and Strategy, you will play a key role in the financial projects. Development Of Client Relationships Project manage the development and implementation of the company's into business strategies Collaborate with the finance team to align strategic initiatives with budgetary Project manage various company projects, including fund raising activities Stakeholder Management &
services industry is in pursuit of an Operations Manager. The company's primary activities revolve around please apply Key Deliverables of the Operations Manager Oversee operations across all areas including Sales to promote and enforce the Group's performance management strategies throughout the organization, ensuring systems challenges as they arise or as directed by management Assist in implementing, training, and embedding periodic monitoring visits to countries and branches Managing and monitoring the monthly Internal Audit Templates
The Management Accountant will be responsible for the ultimate responsibility for the full accounting liaise with internal and external auditors, and manage budgets and forecasts. Additionally, the role encompasses cash flows, and predicting future trends. The Management Accountant will supervise and coordinate support statements is also a key responsibility. Management of the finance team Responsibility for the day-to-day Balance Sheets, and Cash Flows as required by management, law, and the Board of Directors Develop and
function of the company and assist the Financial Manager when necessary. Key Performance Areas Bank & with Debtors Manager on COD Debtor reconciliations Review petty cash reconciliations nationally Reporting out of aging items with branches to effectively manage inventory levels (aging buckets) with the aid of Gauteng and nationally as needed Obtaining monthly branch checklists from admin managers for review by inventory item prices Handle queries raised by staff nationally relating to inventory movement and/or pricing
payment runs Capturing and card management of Fleet Cards Capturing and management of Business Credit Cards accounting or finance is preferred Strong financial acumen Excellent knowledge of all finance related legislation
reporting and potential risk areas to senior management Prepare/oversee accounting, financial reporting the main point of contact during external audit Manage relationships with companies bankers Prepare and segmental and company management accounts Challenge sales and operations managers based on financial performance own volition and where requested by members of management Prepare budgets at segmental and company level expenditure Oversee the work prepared by colleagues in finance Minimum B Com (Acc) or equivalent with at least
consolidation accounting system Assist the Group Finance Manager with the preparation of Group-wide monthly operations and exco reports to be presented by EGM Finance and Chief Financial Officer Assist in the preparation and valuation methodologies Assist the Group Finance Manager in the preparation of interim and annual financial timely and accurate manner Assist the Group Finance Manager in the preparation of reports to be delivered the Chief Operating Officer Assist the financial manager in the preparation of year-end and half-year reports
Pharmaceutical space is seeking an experience Finance Professional in the Accounts Payable space to join submitting for sign off to Financial Assistant or Manager Education and Background Diploma advantageous Knowledge Microsoft Excel Proficient in data entry and management 5 years accounts payable or general accounting skills Vendor relationship skills Information management skills Problem analysis and problem-solving skills
Financial Manager this role offers outstanding career progression for a driven, proactive finance professional professional. Manage the full accounting function for the business, including debtors, creditors, petty cash cash book and oversee daily bank reconciliations Manage creditors' function, including supplier payment ledger Contribute to the preparation of monthly management accounts Minimum one year of working experience in tax and balance sheet skills Proven people management and leadership skills, especially with individuals
compliance with standards and methodologies Team Management and Supervision: Supervise and guide junior auditors Interaction and Relationship Management: Serve as a key contact point for clients, managing dayto-day communications recommendations to clients and senior management Risk Management: Identify potential risks and areas for audit files and documentation Budget and Time Management: Manage audit budgets, ensuring projects are completed