receivable, promptly resolving discrepancies in reconciliations Authorize payments, validate documentation month-end bank reconciliations Scrutinize intercompany transactions and loan account reconciliation Review fixed
receivable, promptly resolving discrepancies in reconciliations Authorize payments, validate documentation month-end bank reconciliations Scrutinize intercompany transactions and loan account reconciliations Review fixed
receivable, promptly resolving discrepancies in reconciliations Authorize payments, validate documentation month-end bank reconciliations Scrutinize intercompany transactions and loan account reconciliations Review fixed
receivable, promptly resolving discrepancies in reconciliations Authorize payments, validate documentation month-end bank reconciliations Scrutinize intercompany transactions and loan account reconciliation Review fixed
receivable, promptly resolving discrepancies in reconciliations Authorize payments, validate documentation month-end bank reconciliations Scrutinize intercompany transactions and loan account reconciliations Review fixed
accounts
invoicing and capturing supplier invoices. Bank reconciliations. Drafting of monthly management accounts. Liaison monthly reconciliations for balance sheet and income statements as well as the VAT reconciliations. Payroll
invoicing and capturing supplier invoices. Bank reconciliations. Drafting of monthly management accounts. Liaison monthly reconciliations for balance sheet and income statements as well as the VAT reconciliations. Payroll
function (i.e. processing invoices, payments and reconciliation of accounts etc.) Accounts receivable function outstanding invoices, processing remittances, reconciliations etc.) Cash flow (i.e. bank, petty cash and and write-offs Payroll & HR (Processing, reconciliations, etc.) Tax related matters i.e. VAT, PAYE,