clients and extracting statements monthly Review all junior accountant entries for discrepancies Collaborate
client together with the Partner, keeping clients informed of progress in relation to all aspects of the On-the-job technical training given to Senior and Junior Accountants for accounting treatments and disclosure current and deferred; research and pass on information from applicable legislation, good practice and and maintain accurate record-keeping systems. Information gathering, problem-solving and analysis skills
papers Have played an active role in reviewing juniors' work and providing on-the-job training Strong
understanding of multiple accounting platforms Understand technology enough to automate as much as possible Ability
stakeholders. Technology Integration : Evaluating and implementing accounts payable automation technologies to enhance
existing CIF information on the system which includes customer demographic information and financial financial information for individuals and companies. •Creation of the necessary General Accounts for each customer all Finance products. •Scanning all necessary information on the Bank's document management system •Creation Home Loan and Mortgage Disclosure Act (HMLDA) information for all residential properties •Updates figures
existing CIF information on the system which includes customer demographic information and financial financial information for individuals and companies. •Creation of the necessary General Accounts for each customer all Finance products. •Scanning all necessary information on the Bank's document management system •Creation Home Loan and Mortgage Disclosure Act (HMLDA) information for all residential properties •Updates figures
and timeous Financial information to Plant Management in order to make informed business decisions. This Generate variance report of Actuals to budgeted information Compile daily stock holding report Oversee Stock Prepare financial reports and returns Generate information and reports for internal and external use Requirements:
accounting information, to provide managers with timely, accurate and relevant information, and to contribute and management reporting function to meet the information requirements of and its stakeholders. • Custody deliver accurate, timeous and relevant financial information from regional and legal entity levels to group
reporting and information on TeamMate audit project for assigned sections. Ensuring all information and evidence interpret and integrate different sources of information. Market Related