provide guidance, and to manage the personnel of the Accounts Payable and cashbook sections. Calculate and compile Ensure that final payment runs are created on the accounting system and imported into the banking platform month expenses are accounted for. Analyse month end completeness of the accounting records. Support and tax purposes. Ensure that all clearing/suspense accounts are followed up and cleared. Compile the monthly creditors aging. Supervise the performance of the Accounts payable and Cashbook team and ensure that the
sales environment Business Development and Key Accounts Management Provide sales and product training all levels Proven experience in sales and key accounts management Past experience in warehousing and