pharmaceutical company has an opportunity for a Finance Manager to join the team. Main Purpose of Job To ensure property companies · Preparation of the monthly management reporting pack o Processing of all monthly journals inline with the forecasts and debtors days are managed within the provided targets for public and tender Preparation and review of annual financial statements o Manage annual financial audits for all companies and liaising collections · Stringent and detailed cash flow management including weekly cash flow forecasts · Annual
of the role: The main purpose of the Portfolio Manager is to secure and facilitate the implementation Development and Funding Executive • CAR Business Unit • SDT Business Unit • Social Housing Institutions • Stakeholders • Senior Management • Public Sector Key Performance Areas: Portfolio Management Planning: Participate organisational resources with plan deliverables and managing the implementation of the agreed deliverables organisation's single-point-of-contact service approach by managing all contracts from inception to tenant move-in
perform the daily cash management function, dealing and foreign exchange management, capturing on system bank. Key Responsibilities Cash and Liquidity Management Monthly sweeping/transfer of premium bank accounts balances daily. Managing and monitoring the company's day to day liquidity Managing and ensuring that distribution of Treasury Partner statements to Business Units. Preparation of monthly Treasury Partner reconcile the clearing accounts. Follow up with Business Units regarding entries not posted on financial
functions: Implementation of grant programs and managing thereof Liaising with relevant stakeholders Draft 7-10 years' grant management experience in the public sector Degree in Finance or Business Administration
committed to providing tailored solutions that enable businesses to thrive in a changing world. With a focus on and an agile approach to navigating the evolving business landscape.
Salary: R50 000CTC Duties: Responsible for the management, preparation and reporting of monthly financials such as general ledger accounts and document business transactions. Calculation and processing of monthly
English Prioritise the workload to manage needs of staff and management simultaneously Deadline driven Punctual