debtor accounts
Balancing up to Trail Balance
Completing analysis of the employee expenditures
debtor accounts Balancing up to Trail Balance Completing analysis of the employee expenditures Managing
debtor accounts Balancing up to Trail Balance Completing analysis of the employee expenditures Managing
CRM system, accounting system and bank accounts. · Expenditure and income variations and analysis. · Cashflow create accounting system reports. · Managing daily cashflow requirements. · Authorise expenditure in line
preparing basic monthly management accounts, Produce income and expenditure spreadsheets over specific periods
Requirements: BCom Accounting with completed SAIPA/SAICA Articles. Responsibilities Prepare, maintained Financial Statements and other accoutning reports, submit to management. Oversee accounts payable and receivable, bank reconciliation, payroll and cash management and inventory monitoring. Oversse
results
in collaboration with office accountant, including monitoring expenditures, creating financial reports
input Reconcile bank account and distribute money within departments Assure expenditures are in accordance
statements, overseeing accounting operations, analysing financial data, monitoring expenditure, forecasting revenue