Responsible for monthly creditor's reconciliation – Std Bank credit card, Stannic fleet cards. Liaise with AP monthly basis as per statement. Liase with Standard Bank re VISA cards, limit increase, etc Responsible accounting principles and financial reporting standards Experience with financial reporting and budget
transactions on relevant platforms. Reconcile company bank statements and bookkeeping ledgers. Generating all
the company / clients SHEQ code of conduct and standards. Compliance to all COVID protocols required Grade
the company / clients SHEQ code of conduct and standards. Compliance to all COVID protocols required Grade