profit and loss statements, balance sheets, and cash flow statements.
pertaining to the business – DEBTORS, CREDITORS, PETTY CASH, BANKING ACCOUNTS, STATUTORY RETURNS and monthly
pertaining to the business – DEBTORS, CREDITORS, PETTY CASH, BANKING ACCOUNTS, STATUTORY RETURNS and monthly
(mandatory) At least 5 years experience in bookkeeping/cash book in computerised environment Excellent computer
accounts where required. Detailed interpretation of cash flows and balance sheet. To understand and update
accounts where required. Detailed interpretation of cash flows and balance sheet. To understand and update
(mandatory) At least 5 years experience in bookkeeping/cash book in computerised environment Excellent computer
Processing VAT returns, bank statements, invoices, petty cash, debtors and creditors, dealing with many inter-company
the absence of Financial Manager Perform weekly cash flow projections saving of documents related to the absence of Financial Manager Perform weekly cash flow projections saving of documents related to
the absence of Financial Manager Perform weekly cash flow projections saving of documents related to the absence of Financial Manager Perform weekly cash flow projections saving of documents related to