accounts, which also include processing various entries and performing reconciliations across the various
transactions in the accounting system, ensuring all entries are properly documented and coded. Maintain and quarterly, and annual trial balances, ensuring all entries are correctly posted and balanced. Oversee the
transactions in the accounting system, ensuring all entries are properly documented and coded. Maintain and quarterly, and annual trial balances, ensuring all entries are correctly posted and balanced. Oversee the
financial reports and statements.
financial reports and statements. Perform data entry and maintain organized records of financial transactions discretion. Strong numerical aptitude and data entry skills. Excellent communication and interpersonal
on a monthly basis. Process group elimination entries. Manage inter-company matching process, and ensure SARB, Manufacturing Circle Survey, and Bureau of Market Research. Provide support to Group Financial Controller
monthly basis.
payable Cash flow: Manage payments, allowances, levels of stock distribution Budget: Help formalise and papers for all the transaction and capture journal entries on Omni Engage in any adhoc admin duties and requirements relationship building skills Attention to detail and high level of accuracy Excellent administrative and organizational FMCG experience an advantage Must possess high levels of integrity To be discussed
review and approval of general ledger entries, journal entries, audit files, and balance sheet reconciliations to deal with clients, donors, and staff at all levels Must be self-motivated, able to work independently
review and approval of general ledger entries, journal entries, audit files, and balance sheet reconciliations to deal with clients, donors, and staff at all levels Must be self-motivated, able to work independently