ensuring compliance with financial regulations and standards. Your expertise will contribute to the strategic Strong knowledge of financial regulations and standards (IFRS, GAAP). Proficiency in accounting software local and international financial regulations and standards (IFRS, GAAP). Manage internal and external audits operational efficiency. Monitor cash flow, manage banking relationships, and oversee investment activities
ensuring compliance with financial regulations and standards. Your expertise will contribute to the strategic Strong knowledge of financial regulations and standards (IFRS, GAAP). Proficiency in accounting software local and international financial regulations and standards (IFRS, GAAP). Manage internal and external audits operational efficiency. Monitor cash flow, manage banking relationships, and oversee investment activities
operational systems essential High-level knowledge of standard Microsoft packages essential (Excel and Word) procedures, especially regulatory and ethical standards. Perform regular audits, design control systems customer and supplier contracts Dealing with banks regarding standard terms and conditions, contracts, and loan
operational systems essential High-level knowledge of standard Microsoft packages essential (Excel and Word) procedures, especially regulatory and ethical standards. Perform regular audits, design control systems customer and supplier contracts Dealing with banks regarding standard terms and conditions, contracts, and loan
Manage staff files, training, and development. Update HR policies and procedures. Handle monthly salaries and Qualifications: Broad experience in finance, HR, and facilities management. Honesty and integrity
BOK004369-GA-1 Half day Admin / Basic accounts Invoices Bank recons Debtors follow up Must be able to work on
BOK004369-GA-1 Half day Admin / Basic accounts Invoices Bank recons Debtors follow up Must be able to work on
supplier payments on the banking system. Debtors: Manage daily revenue capture via bank transactions. Ensure anomalies immediately. Reconciliations: Process daily bank cashbooks and reconciliations. Reconcile payment auditors for annual auditing. Co-ordinate with the bank for general enquiries and communications. General
Financial reporting Bank and Cash: • Capturing of bank statements on a daily basis (all bank accounts including including call accounts) • Reconciliation of bank accounts on a daily basis • Reconciliation of petty cash
procedures, especially regulatory and ethical standards. Perform regular audits, design control systems customer and supplier contracts Dealing with banks in terms of standard terms and conditions, contracts and loan Key Performance Areas and monitor performance standards. Provide procedural and fair disciplinary action operational systems essential. High level knowledge of standard Microsoft packages essential (Excel and Word) and be highly committed to providing excellent standard of service to all Queally customers both internal