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book and Bank reconciliation Conduct cash book entry to reconcile with the income Do payments on weekly journals on Everest Conduct EFT for payments Do second level Bank authorisation Confirmation of budget allocation Funds or equivalent would be an advantage Relevant levels of regulatory examinations. A minimum of 5 years'
consistent growth, the company continues to lead the market in manufacturing construction products. Their plants Accounting and related transactions: Validation of entries requested supported by authorized documentation accordance with policies and procedures. Money Market: Estimate daily cash flow requirements and to manage interest rate risks and to avoid speculation on the markets Liaising with banking institutions to obtain the
consistent growth, the company continues to lead the market in manufacturing construction products. Their plants Accounting and related transactions: Validation of entries requested supported by authorized documentation accordance with policies and procedures. Money Market: Estimate daily cash flow requirements and to manage interest rate risks and to avoid speculation on the markets Liaising with banking institutions to obtain the
reporting, including accounting for month-end entries, balance sheet reconciliations, and the preparation
statutory regulations, ensuring that all journal entries are checked, processed and reconciled on a daily
general ledger accounts.
review complex transactions and prepare journal entries.
platforms. Must have experience with creating service entries on business-to-business electronic client platforms
platforms. Must have experience with creating service entries on business-to-business electronic client platforms