PE010808-LM-1 Job Summary The Group Finance Manager is responsible for managing and coordinating the work comprised of Accounting, Treasury, Conservation and Revenue Collection/ distribution. Manage and lead a for internal and external stakeholders. Risk Management: Identifying and mitigating financial risks, regulations and implementing internal controls. Cost Management: Monitoring and optimizing expenses to enhance company's financial performance. Cash Flow Management: Managing cash flow and liquidity to meet operational
Accountant.WITH MANUFACTURING EXP SAGE X3 ERP EXP Management of the creditors, banking, funds, fixed assets monthly financial reports • Review monthly Management Accounts and provide variance report • Assist with fixed assets as per policy • Review monthly management accounts to ensure accuracy and provide consolidated drafting Policies and Standard Operating Procedures • Manage staff and review performance • Ensure all regional statements are accurate, and distributed on time to all managers • Responsible for all balance sheet and income
Reference: PE010804-Tabz-1 The Group Finance Manager is responsible for managing and coordinating the work comprised of Accounting, Treasury, Conservation and Revenue Collection/ distribution. Manage and lead a for internal and external stakeholders. Risk Management: Identifying and mitigating financial risks, regulations and implementing internal controls. Cost Management: Monitoring and optimizing expenses to enhance company's financial performance. Cash Flow Management: Managing cash flow and liquidity to meet operational
Reference: PE010804-Tabz-1 The Group Finance Manager is responsible for managing and coordinating the work comprised of Accounting, Treasury, Conservation and Revenue Collection/ distribution. Manage and lead a for internal and external stakeholders. Risk Management: Identifying and mitigating financial risks, regulations and implementing internal controls. Cost Management: Monitoring and optimizing expenses to enhance company's financial performance. Cash Flow Management: Managing cash flow and liquidity to meet operational
PE010808-LM-1 Job Summary The Group Finance Manager is responsible for managing and coordinating the work comprised of Accounting, Treasury, Conservation and Revenue Collection/ distribution. Manage and lead a for internal and external stakeholders. Risk Management: Identifying and mitigating financial risks, regulations and implementing internal controls. Cost Management: Monitoring and optimizing expenses to enhance company's financial performance. Cash Flow Management: Managing cash flow and liquidity to meet operational
to closed deals Deliver presentations to senior managers and correct decision makers Develop and maintain
Reference: MID015815-KD-MI-1 Full Cycle Accountant needed in Germiston R400 000 CTC annually Minimum preferred Direct report Experience if possible Full Accountant Cycle, debtors, creditors, and financial statements
organization based on the East Rand is seeking an Accountant on for a 3month basis (Contract) to join their team Available Immediately Accountant with 5 years experience BComm in Accounting Knowledge of IQ system
experience, this company is looking for a Financial Accountant to join their team. Job Description: The candidate candidate will be responsible for the full financial accounting function up to trial balance, responsibilities 5 years of commercial experience Perform the accounting function up to Trial Balance Apply now Disclaimer
established company on the East Rand seeks an Accountant from manufacturing industry Minimum Requirements Requirements Matric Degree or Diploma in Accounting Knowledge of an accounting system Previous experience overseeing overseeing a payroll At least 3 years in an Accountant role within manufacturing industry Previous experience timely bank payments and bank reconciliations, Management and documenting financial transactions, Verify financial records and produce error-free accounting reports Management of Fixed Assets Register, Capex expenditure