position of a Accounts Payable Technician / Alternate Cashier in the Financial Management Office (FMO). Job Overview Overview The Voucher Examiner / Alternate Cashier works in the Regional Financial Management Office and as Voucher Examiner, when serving as Alternate Cashier, the position received direction from the SFMO Principal Class "B" Cashier at post responsible for the full range of cashiering duties in support of take on the CLASS-B Cashier's accountability and/or have a permanent Alternate Cashier Advance, when executing
variety of accounting and bookkeeping duties Prepare part of Management reports at the end of each month Additional bookkeeping functions that may be required from time to time by management QUALIFATIONS AND EXPERIENCE •
abilities. Ability to work independently and as part of a team. Responsibilities: Process invoices, purchase purchase orders, and expense reports in a timely and accurate manner. Reconcile vendor statements and
abilities. Ability to work independently and as part of a team. Responsibilities: Process invoices, purchase purchase orders, and expense reports in a timely and accurate manner. Reconcile vendor statements and
skills. Self driven and motivated and willing to form part of a dynamic team in a growing Company. Shortlisted
accounting processes to ensure compliance with IFRS for timely, accurate, and reliable financial information. Authority. Ensure accounting processes provide timely, accurate, and reliable financial information. income tax returns on time. Calculate and submit provisional tax payments; ensure timely payments. Accurately Review, approve, and submit VAT returns on time; ensure timely VAT payments. Draft replies and handle audits information and explanations to external auditors on time, fostering a good working relationship. Identify
and attention to detail. Strong organizational and time management skills. Ability to work independently Accounting, and Revenue Recognition. Prepare and publish timely monthly financial statements. Coordinate the preparation status. Provide support to the management team with timely and accurate financial information. Conduct monthly
clients by adhering to procedures and turnaround times in order to retain existing clients and attract
statement analysis.
SASWITCH experience. Interbank POS - Debit Switch Real-time Clearing Extensive experience in and a thorough communication skills. Stress management skills. Time management skills. Target orientated. Decision-making