ng Payroll
reconciliation and processing Bank Reconciliations Monthly VAT Calculations and VAT Recons Preparation of Monthly
processing
Bank Reconciliations
Monthly VAT Calculations and VAT Recons
Preparation
performing first release on the bank. Review of all supplier recons and ensuring suppliers are paid within
authorizations/sign off, bank details, etc) for all daily and monthly recons. Manage creditor documentation/payments
Strong technical accounting Group Financial Manager with Head Office finance and staff management experience required for national role. Monthly consolidation and review of financial results for multiple regions and divisions Manage and oversee finance team including Accountants Monthly financial