suppliers Supplier invoice capturing Supplier reconciliations to supplier statements Supplier credit note relationships with suppliers Bank capturing and bank reconciliation Sundry recovery invoicing (internal) Weekly payments are completed on time for VAT submission Reconciliation for timeous payments Ensure accurate submission Creditors Knowledge in Debtors, Creditors, Reconciliations, Vat, Accounts, Invoicing, Payments and Procurement
suppliers Supplier invoice capturing Supplier reconciliations to supplier statements Supplier credit note relationships with suppliers Bank capturing and bank reconciliation Sundry recovery invoicing (internal) Weekly payments are completed on time for VAT submission Reconciliation for timeous payments Ensure accurate submission Creditors Knowledge in Debtors, Creditors, Reconciliations, Vat, Accounts, Invoicing, Payments and Procurement
experience with debtors, creditors, bank reconciliations
physical trades, including system updates, reconciliation, and reporting of traded commodities.
Main
requirements.
physical trades, including system updates, reconciliation, and reporting of traded commodities. Main requirements. Physical position reporting and reconciliation. Issuing and signing all physical contracts physical trades. Finance: Monthly support on PNL reconciliation if required. Logistics: Daily communication
physical trades, including system updates, reconciliation, and reporting of traded commodities. Main requirements. Physical position reporting and reconciliation. Issuing and signing all physical contracts physical trades. Finance: Monthly support on PNL reconciliation if required. Logistics: Daily communication
including bookkeeping up to trial balance, monthly reconciliations, and submission/completion of statutory returns E-Filing, Provincial tax returns, and PAYE reconciliations, along with preparing salary schedules, payslips managing statements, and conducting various reconciliations including debtors, creditors, and stock/inventory
and analysis
Responsibilities:
management
Investment trades
Stock and cash reconciliations
Financial reporting
Assist with audit