function including income statements, budgets, journal entries, management reporting, balance sheet, supplier
maintain cashbooks. Create and prepare monthly journals. Debtors and creditors processing and recons.
declarations
Fixed assets. Bank reconciliations. General ledger journals. General ledger reconciliations. Sustainability
supplier and debtor reconciliations
Financial Manager to oversee transactional control, journal reconciliations, and fixed asset management.
Manage transactional processes and journal reconciliations, maintaining meticulous records
Responsibilities:
declarations
Control and maintain all consol journals
General ledger account
Intergroup balances
maintain cashbooks Create and prepare monthly journals Debtors and Creditors processing & recons
dividend declarations Control and maintain all consol journals General ledger account Intergroup balances and