transactions Prepare and review revenue-related journal Monitor and report on sales data Optimize revenue
to audit queries Generate monthly depreciation journal Record daily financial transactions Supervise a
up-to-date financial transaction records, including journal entries, ledgers, and financial database Qualifications
general ledger reconciliations Processing month end journals and balancing loan accounts Responsible for monthly
forecasting). Drafting and passing monthly Consolidation journals (including ensuring Group intercompany loans are
information as required. Review and approve monthly journal entries and balance sheet reconciliations. Any
up-to-date financial transaction records, including journal entries, ledgers, and financial database Qualifications
compiling annual financial statements, managing journals and reconciliations, calculating VAT and ensuring
compiling annual financial statements, managing journals and reconciliations, calculating VAT and ensuring
Protection of Personal Information Act, Act 4 of 2013 (“POPIA”).