maintaining company procedures and policies relating to admin and finance. Managing risk and taking corrective projections Ensuring correspondence /accuracy of financial data Perform financial month-end up to trial balance
maintaining company procedures and policies relating to admin and finance. Manage risk and taking corrective action projections. Ensure correspondence/accuracy of financial data. Perform financial month-end up to trial balance
professional relationships. Support the finance team with data entry, processing, and generating reports using Bookkeeping Debt Collection on accounts post 30 days Capturing Cashbook Allocation of Payments received Invoicing
professional relationships. Support the finance team with data entry, processing, and generating reports using Debtors Debto Collection on accounts post 30 days Capturing Cashbook Allocation of Payments received Invoicing
professional relationships. Support the finance team with data entry, processing, and generating reports using Debtors Debto Collection on accounts post 30 days Capturing Cashbook Allocation of Payments received Invoicing
professional relationships. Support the finance team with data entry, processing, and generating reports using Bookkeeping. Debt Collection on accounts post 30 days. Capture Cashbook. Allocation of Payments received. Invoicing
accounts and reconciling Capturing of invoices and processing payments Capturing and processing of daily
accounts and reconciling Capturing of invoices and processing payments Capturing and processing of daily
handling of VAT calculations and submissions, will capture and compile financial information according to
handling of VAT calculations and submissions, will capture and compile financial information according to