Regular meetings with the Credit, Stock and Accounts Payable Manager. Assessing the Forex recon for accuracy
exchange transactions. Reconcile debtors and creditors statements. Correct accounting treatment on disposal Analytical review of AFS – GP%, Inventory days, Creditors days, Debtors days. Ability to record books from
Foreign exchange transactions Reconcile debtors and creditors statements. Correct accounting treatment on disposal Analytical review of AFS – GP%, Inventory days, Creditors days, Debtors days Ability to record books from
tax exposures. Oversee the administration of creditors and debtors. Oversee the preparation for internal