ensure accurate posting of all transactions. Process debtor orders and allocate payments and deposits. Prepare various reports (sales, debtors, insurance, etc.). Complete CIPC annual return and assist with claims processing processing. Assist with the budget process, including preparation, analysis and importing of budgets. Review and yearly management, exec and board reports. Assist with external audit requirements and authorise
information, statements and reports. Credit control (debtors collection). Bank statement reconciliations. Update