and manage weekly reporting processes including journal module closure and reconciliation with fuel suppliers
strategic analysis and planning. Review and sign off journals Manage working capital Responsible for the assessment
financial processes, including VAT reconciliations, journal entries, and accounts payable.
processing of financial transactions (payments, journals, bank reconciliations, receipts) and statutory entries made into the financial system (cashbook, journals, purchase orders, invoicing) to confirm proper correctness, queries and adjustmentsF • Prepare monthly journals for processing and ensure that they are processed
reconciliation of accounts and preparation of adjusting journal entries. Collaborate with cross-functional teams
reconciliation of accounts and preparation of adjusting journal entries. Collaborate with cross-functional teams
month-end and year-end closing procedures, including journal entries and account reconciliations. Budgeting
month-end and year-end closing procedures, including journal entries and account reconciliations. Budgeting
operational strategies Review and sign off on journals Assessment and implementation of internal controls
operational strategies Review and sign off on journals Assessment and implementation of internal controls