financial management, including everything from bank and customer reconciliations to managing the fixed and financial ratios. Duties: Conduct detailed bank, customer, supplier, and stock reconciliations. including PAYE, VAT, and UIF. Assist and guide junior staff on accounting standards and queries. Ensure compliance
includes: Dealing with outstanding accounts Age analysis Bank statement reconciliations Ad- hoc accounting functions
knowledge/understanding on the following: Delegation of Authority Bank/Account Reconciliation Hedging Transactions Current
Budgeting, Reporting, Leading and supervising of staff. Excellent experience on job-costing, bill of materials
end-to-end accounting function for various clients. Bank reconciliations. Other balance sheet reconciliations
with year-end audit queries Assist in training of staff from various backgrounds and skill levels Capex
payable/receivable, invoices, and payments. Reconcile bank statements and key General Ledger accounts. Process