accurate accounting. Manage reconciliations, including bank, inter-company, debtors, and creditors. Lead month-end accurate accounting. Manage reconciliations, including bank, inter-company, debtors, and creditors. Lead month-end
Submission/Invoice, Tax Returns/Reconciliations of bank accounts, budgets and forecasts and IFRS through
Submission/Invoice, Tax Returns/Reconciliations of bank accounts, budgets and forecasts and IFRS through
financial records are reconciled regularly, such as bank statements, accounts receivable, and accounts payable
financial records are reconciled regularly, such as bank statements, accounts receivable, and accounts payable
monthly reports. Assist in the administration of bank applications, KYCs, and other administrative tasks
monthly reports. Assist in the administration of bank applications, KYCs, and other administrative tasks