Correctly prepare, process and review all payments · Resolve all queries timeously as per scheme Service balance all reconciliation accounts accurately and timeously to trial balance · Capture all general ledger
accurate accounting of all Company transactions reporting to the Exco on all financial matters overseeing operational unit Proven competence in the handling of all aspects of operational finance with exposure to the
accurate accounting of all Company transactions
quarterly, and annual analysis of actual vs budget of all open projects, relating to machine builds, refurbishments
Reconcile the accounts payable ledger to ensure that all bills and payments are accounted for and properly
contracts, verify billing details, and ensure that all revenue is accounted for accurately. •Liasing with correctly and timeously. •Ensure all supporting documents has been signed by all relevant parties and once paid