operational general ledger reconciliations Manage banking profiles and treasury functions Manage all FECs financial analysis, accounting principles, practices, standard laws, and regulations Knowledge of Corporate Governance reporting, financial auditing, controls, and compliance essential Track record in the implementation
Manage external relationships with investors, banks and influential stakeholders. Be the key player
Foreign) – Preparing payments daily/weekly/monthly Bank Reconciliation (Weekly and Monthly) Other reconciliations
financial transactions and reports, financial compliance and overall adherence to financial accounting
develop tax planning initiatives Team Leadership Compliance and Governance CA(SA) qualification is essential
Manage Cashbooks and Payments Ensure VAT and Tax Compliance Key Requirements: Ability to work independently
up-to-date with changes in accounting and auditing standards and regulations. Assist with independent reviews