and treasury/banking exposure. Proficient in MS Office with advanced Excel proficiency. SAP experience Group Reporting and Treasury: Lead and guide the Head Office finance department; Manage IFRS compliance, press Prepare group Annual Financial Statements; Prepare Head Office budget and consolidate with group Budget Pack; adequacy of limits; Work with Investor Relations Head to assist on investor queries; Manage ad hoc projects
Responsibilities: Report to the Chief Financial Officer: Finance: Manage and oversee the Finance department administrative functions where needed. Manage the office equipment contract renewals. Manage the schedule
Proven technical knowledge of IFRS. Proficient in MS Office. SAP - a strong advantage. Competencies: Strong
overtime, staff discounts, and submissions to central office Prepare petty cash reconciliations Capture supplier
practices. Proficient in Accounting software and MS Office (Excel). Skills and Competencies: Excellent communication