financial management, including everything from bank and customer reconciliations to managing the fixed and financial ratios. Duties: Conduct detailed bank, customer, supplier, and stock reconciliations.
to ensure allocations are done correctly • Review bank reconciliations • Monthly journals • Submit monthly
needed. Liaise with external stakeholders such as banks, regulators, and tax authorities. Ensure that all
allocated to appropriate general ledger accounts. Ensure bank reconciliations are undertaken and signed off. Manage
the client re: updates of personal particulars/banking details. Compile tax calculations and schedules
payable/receivable, invoices, and payments. Reconcile bank statements and key General Ledger accounts. Process
and receipts in a timely manner.
invoices and payments. Reconciliation: Perform regular bank and account reconciliations to ensure accuracy and
join their team , a leading pan-African investment bank . This full-time position will be based in Johannesburg