planning-design methods of tax savings, liaise with auditors, banks and financial institutions, attorneys will capture
analysis and submission for review Daily processing of bank and cash, petty cash, and ad hoc journals as required limited to): Accounts receivables Accounts payables Bank reconciliations Inventory reconciliations VAT control
general ledger reconciliations
join our dynamic team, based in Brits (North West). Bank processing and reconciliations. Preparing monthly
responsibility for balance sheet recons, processing bank statements, intercompany accountants, and general
responsibility for balance sheet recons, processing bank statements, intercompany accountants, and general
responsibility for balance sheet recons, processing bank statements, inter-company account s, and general
/>Daily cash book processing x 3 (Nedbank / Absa / Std bank)
Debtors (2 x debtor schedules - 250
planning-design methods of tax savings, liaise with auditors, banks and financial institutions, attorneys will capture
years data analyst experience Financial industry (banking/finance/insurance) beneficial Power BI (Including