all aspects of financial accounting, including journal entries, reconciliations, and financial statement drive strategic planning initiatives.
Assist with general ledger process as well as post journals Compile VAT reports and get files and support service for tax compliance) Calculate and post journal for movement from realised and unrealised operational consolidation, Journals, reconciliation and audit support Advanced excel skills Excellent communicator and initiator
ageing reports
account reconciliations
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Reconciliations (Balance sheet) Tax preparation Capturing journals Job Experience and Skills Required: Matric/Grade
limited to):
Bank recons and monthly journals
Managing, processing and reconciling cash
administration
Petty Cash administration Preparation of monthly journals General bookkeeping administration Qualifications:
Petty Cash administration Preparation of monthly journals General bookkeeping administration Qualifications: