income statements, and cash flow statements. Maintenance and reconciliation of the general ledger accounts
Provide hands-on financial systems support. System maintenance and operations support. Recommend process enhancements
issues. Open new debtor accounts and ongoing maintenance thereof Accurate processing of data and notes
internal teams. Oversee the preparation and maintenance of comprehensive client documentation and communications
Management of the Forex requirements and processing. Maintenance and reconcilliation of the Fixed Asset register
Management of the Forex requirements and processing. Maintenance and reconcilliation of the Fixed Asset register
with clients. Drafting of financial statements. Maintenance of SARS accounts. Registration and deregistration
effective control over the issuing, return, maintenance and safe custody of modules, ticket machines
issues. Open new debtor accounts and ongoing maintenance thereof Accurate processing of data and notes