Netafim automation equipment • Filter Bank ▪ Where required assist with the servicing of filter banks and
Collection of outstanding debt Compile Bank reconciliations Assist with improving and drafting of financial
Collection of outstanding debt Compile Bank reconciliations Assist with improving and drafting of financial
reconciliations Creditor reconciliations Bank reconciliations Assisting with cashflow Financial reporting,
Accounts to age analysis • Cash Book • Bank Reconciliations • Assisting with Adhoc functions delegated by
Creditors Manual capturing of non-trade bank accounts Managing and assisting with audits Ability to process accurate
Creditors Manual capturing of non-trade bank accounts Managing and assisting with audits Ability to process accurate
duties and auditing Bank reconciliations Invoice and statement checking Assists the Financial Manager
receivable, reconciling bank statements, preparing financial reports, and assisting with budgeting and forecasting
accounts receivable. Prepare payments on all bank accounts. Assist with monthly journals and month-end entries