recons. • Review reconciliation of all inter-company loan and trade accounts. • Review maintenance of the
local and foreign. Update and manage intercompany loans, call accounts Intercompany transactions correctly
payment process, Reconciliation of intercompany loans and transactions, Take the next step and apply with
maintenance Monthly Management Journals Intercompany - Loans and Invoicing Prepare VAT for review Prepare Balance
rbranch allocations, etc.) Manage Intercompany loans and invoicing Prepare VAT submissions for review
Maintaining of fixed asset register and shareholder loan schedules Perform monthly VAT reconciliations and
reconciliations Maintain fixed asset register and shareholder loan schedules Conduct monthly VAT reconciliations and
reconciliations Maintain fixed asset register and shareholder loan schedules Conduct monthly VAT reconciliations and
Maintaining of fixed asset register and shareholder loan schedules Perform monthly VAT reconciliations and
Oversee the credit underwriting process to ensure the loans are extended responsibly Skills & Experience: