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As a treasury analyst, you will look after back-office administration and cash management, debt settlements and bank account administration.
Looking to identify a talented individual who will play a pivotal role in our client's organization's growth and development. The role focuses on business partnering, accounting, reporting, budgeting, forecasting, internal controls, compliance, audit, tax and treasury functions.
To support the Head of Business Analysis in creating management reports and conducting various analyses as needed. Engage in compiling, processing, and examining data for closing, budgets, and business plans, while also enhancing reporting and decision-making tools. Contribute to the Sales and Operations Planning (S&OP) process for specific markets, scrutinize sales data, and identify risks and opportunities.
Looking to identify a talented individual who will play a pivotal role in our client's organization's growth and development. This role will be working closely with the Group Customer Finance Manager, and will be responsible in providing support to the team and wider management for the successful execution of Customer Finance activities.
The Manager - Financial Planning and Analysis is responsible for overseeing budgeting, forecasting, MIS reporting, and financial modeling to ensure effective financial control and profitability. The role involves close collaboration with internal stakeholders to enhance budgeting processes, systems, and tools.
This Finance Manager role will oversee the consolidation and reporting of financial results, manage budgeting and forecasting, and ensure financial governance across Retail operations. You will work closely with senior stakeholders to provide valuable business insights and drive process improvements.
The Senior Manager - Statutory Reporting will oversee financial accounting and reporting, ensuring compliance with IFRS standards while driving financial control and strategic reporting initiatives. The role involves working with internal and external stakeholders to maintain robust financial systems, implement policies, and lead audit processes.
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