relationships with external stakeholders, including banks, auditors, and regulatory bodies. 6. Lead and manage financed through dealer and customer floorplans, bank statement balances to be checked for completeness
fuel comparison reports. Maintain/manage monthly Banking The successful candidate must have: Matric with
reconciliation PAYE, VAT and WCA Managing the company's bank accounts (local) and managing cash flows. Balance
Perform daily, weekly and monthly reconciliations of Bank accounts. Charge expenses to accounts and cost centers