•Accurate financial reporting & analysis •All bank related activities •Monthly creditors reconciliations •Preparation of audit files and liaison with external auditors •Assist in ad-hoc finance projects •Effective
/>•Accurate financial reporting & analysis
•All bank related activities
•Monthly creditors reconciliations
/>•Preparation of audit files and liaison with external auditors
•Assist in ad-hoc finance projects
•Effective
and bank recons Create and code cash book Reconcile bank accounts Petty cash Import and code bank statements and salary information General Admin Respond to internal and external queries Timesheets Prepare reports
dates, and compliance requirements. • Oversee Group bank accounts, foreign currency transactions, and Foreign effectively within cross-functional teams and lead internal focus groups for organizational projects. • Willingness
dates, and compliance requirements. • Oversee Group bank accounts, foreign currency transactions, and Foreign effectively within cross-functional teams and lead internal focus groups for organizational projects. • Willingness
Working 4 small accounts - Creditors - Daily Sales - Bank Recon - Loading Payments - COD Requirements: - Accounting
Working 4 small accounts - Creditors - Daily Sales - Bank Recon - Loading Payments - COD Requirements: - Accounting
accounts
- Creditors
- Daily Sales
- Bank Recon
- Loading Payments
- COD
Tasks:
SAP
Tasks: