statement reconciliations (including creditors, debtors, bank, stock reconciliations, VAT, payroll) Maintaining
Service Accounting : Capture and reconcile monthly bank statements and transactions. Perform bookkeeping
Financial Transactions: Capture and record monthly bank statements and transactions accurately. Maintain
Financial Transactions: Capture and record monthly bank statements and transactions accurately. Maintain
investment management, leasing, insurance, and banking sectors. - Mastermind the audit planning process
Service Accounting : Capture and reconcile monthly bank statements and transactions. Perform bookkeeping
ensuring maximum cash return, as well as maintaining banking relationships. Manage inter-company transactions ensuring maximum cash return, as well as maintaining banking relationships. Manage inter-company transactions
within the financial roles of the organisation, eg banking, CIPC, etc • Ensuring cross border documents and
reconciliations. (including creditors, debtors, bank, stock reconciliations, VAT, payroll) Maintains
prepared on time; Maintaining banking relationships and negotiate terms with banks under the strict supervision to: Banks Taxation Authorities Insurers Company registrars Regulatory Authorities Central banks Auditors