relates to Cash Book, Debtors, Creditors and Monthly Journals. Preparation and Submission of Intercompany Schedule
| Start ASAP | Perm Responsibilities: Process journals Audit branches and their controls and attending
dividend declarations Control and maintain all consol journals General ledger account Intergroup balances and
Reconcile petty cash Process all required entries and journals Reconcile company credit cards and fleet cards
will also be responsible for transactional and journal control and recons, as well as maintaining the
interest workings compiling debtors entries passing Journals after being checked by financial capturing of
manufacturing of FMCG in Africa. Responsibilities: Monthly journals, balance sheet reconciliations and reporting &
audits, verifications Processing monthly payroll journals and Submission of PAYE returns Prepare weekly
| Start ASAP | Perm Responsibilities: Process journals Audit branches and their controls and attending
dividend declarations Control and maintain all consol journals General ledger account Intergroup balances and