Works directly with the General Counsel, Assistant General Counsel, Senior Counsels, paralegals around the globe and all other lawyers within the legal
**BAT is evolving at pace - truly like no other organisation.****To achieve the ambition, we have set for ourselves, we are looking for colleagues who are
**Aufgaben**:1) Month-End and Year-end closing activities and reporting tasks:- Ensuring accuracy and timeliness of month/year end analysis- Oversees HQ MIF
Supporting Senior Executive/Finance Manager during monthly, quarterly and annual closings, external auditing processes, budgets and forecast preparations.
What will you be doing?Responsible for accounts receivable and credit control for service customers.Collaborate with Shared Service Centre collectors and other
Job Description Overall assist all financial activities of the company, ie. financial statement, treasury functions, cash flow management etc including:- Daily
Job summary The O2C Senior Accountant manages the accounts receivable processes within the FSSC, enabling the execution of quality services.This role supports
Responsible for executing the strategies and plans devised by treasury management, ensuring the financial transactions' efficiency and accurate records.
**Duties & Responsibilities**:- Perform general office support duties.- Perform management and administration duties.- Providing administrative support for the
Manage and supervise the overall accounting and financial matters, including finalisation of management reports and statutory financial statements that are in
Inventory maintenance- Fixed Asset support & maintenance- Posting of JV's - Ensure accurate and timely posting of financial transactions- Coordinating with the
**Responsibility**- Maintaining Full sets of accounts inclusive of accounts set up and maintaining the day-to-day financial records of the company.- Able to
Duties & Responsibilities: - Perform general office support duties. - Perform management and administration duties. - Providing administrative support for
As an employer, PSI has been offering its staff interesting and secure jobs with a variety of development opportunities and the necessary scope for individual
Descriptions KPMG's Financial Risk Management (FRM) practice is a specialized service line of KPMG's Risk Consulting practice, focusing on financial risk
_**Job Purpose**:_Overall assist all financial activities of the company, i.e. Financial Statement, Treasury functions, Cash Flow Management, etc, including:-
**Responsibilities / Authority**Treasury functions - monitoring daily cash flow, daily money market placement and FD placement.Prepare monthly cash flow, bank
**BAT is evolving at pace - truly like no other organisation.****To achieve the ambition, we have set for ourselves, we are looking for colleagues who are
We are seeking a detail-oriented and dedicated Treasury Analyst to join our team. Reporting to the Assistant Manager of Treasury, the Treasury Analyst will
**RESPONSIBILITIES**:- Effective cash management- involves monitoring cash inflows and outflows, forecasting cash needs, and optimizing cash balances to ensure