accounts payable, accounts receivable, general ledger entries, and month-end close processes. Prepare and analyze company's financial performance. Monitor and reconcile bank accounts, ensuring accuracy and transparency in
functions Competence in performing and reconciling bank transactions Knowledge of tax legislation, encompassing financial transaction records, including journal entries, ledgers, and financial database Qualifications:
functions Competence in performing and reconciling bank transactions Knowledge of tax legislation, encompassing financial transaction records, including journal entries, ledgers, and financial database Qualifications:
reporting, including accounting for month-end entries, balance sheet reconciliations, and the preparation with various stakeholders such as shareholders, banking partners, and sales teams is crucial. Job Experience
reporting, including accounting for month-end entries, balance sheet reconciliations, and the preparation with various stakeholders such as shareholders, banking partners, and sales teams is crucial. Job Experience
Ledger Reconciliation of entries into Sage Evolution Process and reconciliation of Bank Accounts Process and
Ledger Reconciliation of entries into Sage Evolution Process and reconciliation of Bank Accounts Process and
statements and reports. Manage general ledger entries and ensure accuracy in financial records. Oversee payable and accounts receivable processes. Reconcile bank statements and maintain balance sheets. Prepare
service invoices) on NAV Setting up on payments on Banking system Reconciliations as needed Processing into system CASH BOOKS Processing of all cash book entries CONTRACT MANAGEMENT Updating and maintenance of
financial transactions recording. Verify and authorize entries, resolve ledger queries, and process payments. Administrators, EXCO, all FBC departments External: Bank, Department of Labour, External Auditors, SARS,