than 40 locations worldwide is currently hiring an office administrator. If you have a passion for administration processing and booking overhead invoices, managing cash transactions, reconciling bank balances, overseeing the administrative side, responsibilities include office management, handling phone communications, setting logistics, maintaining office supplies, overseeing cleaning operations, managing office contracts, coordinating
than 40 locations worldwide is currently hiring an office administrator. If you have a passion for administration processing and booking overhead invoices, managing cash transactions, reconciling bank balances, overseeing the administrative side, responsibilities include office management, handling phone communications, setting logistics, maintaining office supplies, overseeing cleaning operations, managing office contracts, coordinating
Join our team as a bookkeeper, where you'll manage office operations, assist with financial tasks, and support deliveries and office supplies Maintain office contracts and manage cleaning staff Coordinate office maintenance invoices Reconcile bank balances and book daily cash transactions Process employee expense and credit
Join our team as a bookkeeper, where you'll manage office operations, assist with financial tasks, and support deliveries and office supplies Maintain office contracts and manage cleaning staff Coordinate office maintenance invoices Reconcile bank balances and book daily cash transactions Process employee expense and credit
the following: Manage the company's cash flow by monitoring cash balances and minimizing net interest and update all Bank Mandates Manage the company's cash management systems (including online banking and in treasury or finance, with an understanding of cash management and risk management principles Must have
the following: Manage the company's cash flow by monitoring cash balances and minimizing net interest and update all Bank Mandates Manage the company's cash management systems (including online banking and in treasury or finance, with an understanding of cash management and risk management principles Must have
techniques to project future revenues, expenses and cash flows Provide strategic financial advice to the Maintain accuracy in financial reporting and supporting cash flow management Any ad-hoc duties as required by Exceptional communication skills Proficiency in MS Office Qualification: Completed SAIPA articles Relevant
and class, based in the beautiful mother city. If Cash Flow Forecasting, P&L, IFRS compliance and Financial month-end accounting Financial reporting to head office & external stakeholders Analysis of monthly process and monthly P&L Forecasting Monthly Cash Flow Forecast Reconciliation of Balance Sheet Accounts
and class, based in the beautiful mother city. If Cash Flow Forecasting, P&L, IFRS compliance and Financial month-end accounting Financial reporting to head office & external stakeholders Analysis of monthly process and monthly P&L Forecasting Monthly Cash Flow Forecast Reconciliation of Balance Sheet Accounts
techniques to project future revenues, expenses and cash flows Provide strategic financial advice to the Maintain accuracy in financial reporting and supporting cash flow management Any ad-hoc duties as required by Exceptional communication skills Proficiency in MS Office Qualification: Completed SAIPA articles Relevant