balancing (Botswana & Zimbabwe) Interbranch journal processing. Month end and year end processing.
balancing (Botswana & Zimbabwe) Interbranch journal processing. Month end and year end processing.
cashbooks
Liaison with auditors Intercompany transactions and journals Forex transactions Management of IT setup and
including banks, fixed assets, funding, payroll journals, prepayments, and accruals.
accurate records of financial transactions, including journal entries, ledgers, and reconciliations. Ensure compliance
accurate records of financial transactions, including journal entries, ledgers, and reconciliations. Ensure compliance
monthly reconciliations -Month end procedures, journals, reconciliations etc. -Review month end age analysis
accurate records of financial transactions, including journal entries, ledgers, and reconciliations.
with clients and business guests
· Organise media appearances and events
· Manage internal projects