relates to Cashbook, Debtors, Creditors and monthly Journals)
Responsibilities:
declarations
Control and maintain all consol journals
General ledger account
Intergroup balances
Financial Manager to oversee transactional control, journal reconciliations, and fixed asset management. Provide and reports. Manage transactional processes and journal reconciliations, maintaining meticulous records
Financial Manager to oversee transactional control, journal reconciliations, and fixed asset management. Provide and reports. Manage transactional processes and journal reconciliations, maintaining meticulous records
3rd parties and process. Process Disbursement Journals for all files. Resolve all queries. Liaise with
parties and process.
relates to Cashbook, Debtors, Creditors and monthly Journals) Prepare and submit inter-company schedule and
3rd parties and process. Process Disbursement Journals for all files. Resolve all queries. Liaise with
processing