receivable transactions Verify the precision of financial data and assist the finance team in diverse tasks as
receivable transactions Verify the precision of financial data and assist the finance team in diverse tasks as
professional relationships. Support the finance team with data entry, processing, and generating reports using
professional relationships. Support the finance team with data entry, processing, and generating reports using
Conducting GL Account reconciliations. Analyzing data for reports. Processing asset ledger entries. Performing
Conducting GL Account reconciliations. Analyzing data for reports. Processing asset ledger entries. Performing
Analysis: Conduct detailed analysis of financial data to identify cost-saving opportunities, inefficiencies
Analysis: Conduct detailed analysis of financial data to identify cost-saving opportunities, inefficiencies
process, record, reconcile, and report financial data to support the Finance Department. Maintain accurate
movements into billing system Ø Upload Eurocat flights data for both Johannesburg and Cape Town Ø Importing