clients Dealing with outstanding accounts Age analysis Bank statement reconciliations Ad- hoc accounting functions
accounts. • Update & reconcile cashbook to the bank statements daily • Filing R9000 per month The post
and receipts in a timely manner.
Daily capturing of bank, petty cash and credit card statements, Prepare monthly reconciliations, Manage
principles, regulations, and financial reporting standards.
efficiency, we strive to redefine hospitality standards in every aspect. As we continue to expand our compliance with regulatory requirements, accounting standards, and internal policies. – Implement and maintain – In-depth knowledge of financial reporting standards, regulations, and best practices. – Excellent
investment decisions are informed by the latest standards and practices.
investment decisions are informed by the latest standards and practices. Prepare detailed reports and present