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Showing 10 jobs
Skills:
Excel, Financial analysis, Internal Controls, Financial Planning, Variance Analysis, Cash-flow forecasting, Financial Modelling, ERP systems, Regional consolidation reports, Budgeting, Statutory compliance, Cash-flow management, Financial reporting
Skills:
Forecasting, Strategic Business Partnering, Compliance, Corporate Governance, ERP Systems, Financial Analysis, Accounting, Budgeting, Cash Flow Management, Financial Modelling, Risk Control
Skills:
Wip, Forecasting, Profitability, Financial analysis, Statutory Reporting, Accounting Standards, Gst, Treasury, Month-end activities, Tax, Accounts receivable and payable, Debtor Management, Regulatory Compliance, Billing, Payroll, Client-money obligations, Utilisation, Pricing, Budgeting, Credit control, Financial reporting, Commercial insight, CPF
Skills:
System integration, Tax Compliance, Process improvement, Accounting, Audit, Financial reporting
Skills:
Cross-border transactions, Forecasting, Working capital optimisation, Financial Planning, international tax, Management Reporting, Accounting Principles, Transfer Pricing, Treasury Operations, Budgeting, Corporate Tax, Cash Management, Cash flow planning
Skills:
financial spreadsheet modeling, Stakeholder Management, analytical acumen, Financial Planning And Analysis
Skills:
Power Bi, Microsoft Excel, Forecasting, Business Partnering, Problem-solving, Accounting, Finance, Management Accounting, Budgeting, Financial Reporting
Skills:
Investment Analysis, Forecasting, Accounting, Finance, Budgeting, Financial Modelling, Management Reporting
Skills:
External audits, Forecasting, Sops, Statutory audit processes, Loan repayments, Group consolidation, Governance frameworks, Finance policies, Financial Controls, SFRS, Liquidity planning, Treasury Operations, Financial insights, Cash Flow Management, Budgeting, Covenant compliance, Financial reporting, Working Capital Management, Strategic decision-making, Internal control framework, IFRS
Skills:
SAP, Erp, Change Management, Automation, Month-End Closing, Internal Controls, Process Improvement, Accounts Receivable, Transfer Pricing, Accounts Payable, corporate reporting, Foreign-Exchange Hedging, Tax Compliance, General Ledger, Cash-Flow Forecasting, Account Reconciliations, IFRS
