and treasury/banking exposure. Proficient in MS Office with advanced Excel proficiency. SAP experience Reporting and Treasury: Lead and guide the Head Office finance department; Manage IFRS compliance, press group Annual Financial Statements; Prepare Head Office budget and consolidate with group Budget Pack; facility letters and ensure adequacy of limits; Work with Investor Relations Head to assist on investor emotional maturity, ethical values and integrity. Work well with a team. Ability to juggle varied deadlines
Proven technical knowledge of IFRS. Proficient in MS Office. SAP - a strong advantage. Competencies: Strong integrity - key A high stress tolerance. Able to work efficiently under pressure. Excellent communication year-end annual financial statements; supporting workings to the financial statement process. Assist with: technical research - IFRS matters; IFRS 9 & 16 workings; external audit queries; analysis of monthly consolidated
or Finance related qualification. Min 2 years working experience in accounting/financial field. SAP experience deadlines. High stress tolerance and the ability to work efficiently under pressure. Excellent communication overtime, staff discounts, and submissions to central office Prepare petty cash reconciliations Capture supplier
Shipping and Logistic, a strong preference. Microsoft Office essential. Previous experience in Export Trade training staff members. Key Competencies: Ability to work in a fast-paced, demanding environment. Excellent
Shipping and Logistic, a strong preference. Microsoft Office essential. Previous experience in Export Trade training staff members. Key Competencies: Ability to work in a fast-paced, demanding environment. Excellent
industry experience pref. Proficient in SAP and MS Office. The Job: Report to the Divisional Accountant: