operational GL reconciliations
general ledger reconciliations
functions
experience (non negotiable). Monthly processing of bank, customers, suppliers journals. Preparation of VAT
Perform daily and monthly account reconciliations for bank statements, ledgers, and other financial accounts
taxation requirements. They will also oversee banking operations, cash flow forecasting, and fixed asset
in the business, inter alia, corporate finance, banking arrangements, reporting and business improvement
Matric Degree: Finance / Accounting / Business Banking / Retail / Merchant sector experience Experience
financial records are reconciled regularly, such as bank statements, accounts receivable, and accounts payable
in quantitative analysis, preferably within the banking or financial services sector.