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Showing 7 jobs
Skills:
Microsoft Excel, Treasury Management, Banking Management, Accounting, Financial Accounting Systems, Cash Flow Forecasting, Cash Management, Financial Reporting
Skills:
Projects Process Improvements, Liquidity Management, interest rate swaps, banking relationships, fixed deposits, Cash Flow Forecasting, Financial Accounting Reporting, foreign exchange hedging, Treasury Cash Management, Compliance Governance
Skills:
tax filings , Accounting Standards, Tax knowledge, Cash Flow Forecasting, statistical reporting, Business registration, Audit financial processes, Funding plans, Budget Monitoring, Treasury Operations
Skills:
google sheets , SAP, advanced Excel, Netsuite, Oracle, group consolidation, Xero, statutory compliance, Quickbooks, SFRS, Financial Modelling, IFRS
Skills:
SAP, Excel, Word, Ms Office Suite, financial software applications, financial analysis, Powerpoint, Cash Flow Forecasting, IFRS accounting standards, Financial Modeling
Skills:
Excel, Cash Flow Management, Sap Erp, financial analysis, IFRS 16 Leases, Forecasting, IFRS accounting standards, IFRS 15 Revenue from Contracts with Customers, Financial Modeling, Microsoft Office Applications, budgeting
Skills:
Excel, SAP, manufacturing finance, costing, Financial Modelling
