Mission: Maintain payroll data on a monthly basis. Prepare payroll journals and reconcile the payroll IRP5’s. Prepare electronic transfer of salaries to bank accounts. Compile the vendor / check list. Minimum
you will be responsible for the below: Harmonize bank account and other balance sheet reconciliations receivable transactions Verify the precision of financial data and assist the finance team in diverse tasks as
you will be responsible for the below: Harmonize bank account and other balance sheet reconciliations receivable transactions Verify the precision of financial data and assist the finance team in diverse tasks as
documentation Monthly payroll statistical reporting Banking administration, resolving any related queries, payroll-related journal entries Monthly preparation of payroll bank reconciliations Monthly payroll control accounts
Generate monthly payroll statistical reports. Manage banking administration, resolve related queries, and ensure payroll-related journal entries. Prepare monthly payroll bank reconciliations. Prepare monthly payroll control
orders for correctness (As received or returned) Ø Capture creditor's invoices to the system Ø Reconcile supplier
reports to the Group Finance Manager and will capture and compile financial information according to
reports to the Group Finance Manager and will capture and compile financial information according to
transactions Prepare balance sheets Track and reconcile bank statements Create cost analysis reports (fixed and
Some of the core functions forex invoicing and banking, assist in project costing. Job Experience and