Full Senior Bookkeeping to Balance Sheet & General ledger Management Cash Management – Cashbook capturing Performing General Ledger and Balance sheet Reconciliations Maintaining and reconciling general ledger accounts discrepancies Month-end recons and reconciling to General Ledger and maintaining supporting schedules Full Financial Reporting & Budgeting and Forecasting - Assisting in the development of budgets and forecasts and Multi-currency debtors (USD and ZAR) Audit support - Assisting with internal and external audits Ensure all forex