Assisting in reconciling intercompany debtor and creditor transactions. Providing support to Property Accountants
Signatory, overseeing EFT payments and updating creditor banking details. Approve journal entries and oversee
Signatory, overseeing EFT payments and updating creditor banking details. Approve journal entries and oversee
responsible for the below: Assisting with full function creditors, including invoice processing and reconciliation
responsible for the below: Assisting with full function creditors, including invoice processing and reconciliation
reconciling inter-company and inter-group debtor and creditor transactions. Support Property Accountants in
reconciling inter-company and inter-group debtor and creditor transactions. Support Property Accountants in
manage the finance team, overseeing debtors, creditors, and bookkeeping activities. Inventory & IT
manage the finance team, overseeing debtors, creditors, and bookkeeping activities. Inventory & IT
Manage the finance team, overseeing debtors, creditors, and bookkeeping. Coordinate with operations on