assets
include managing debtors, creditors, bank and general journals up to trial balance, as well as processing
transferring calls, and taking messages
statements Manage budgeting and forecasting Ensure General ledger inputs are accurate Maintain and control
nage budgeting and forecasting
building skills, must be able to handle pressure, work independently and in a team, with a positive, self-motivated MS Office and Business Systems Must be willing to work irregular hours and travel if required A Valid drivers and accurate analytical information Support the General Manager and Finance Manager in improving business function Free Cash Flow Contribution - Managing working capital (accounts payable, receivable and fixed
experience • Team Player • Good work ethic • Proactive, able to work independently • Follow procedures commitment to service excellence • You may be required to work overtime from time to time
in Tax administration? Do you thrive in a dynamic work environment where attention to detail is paramount