Accountant to join their team. Daily Log into Std Bank and Send Bank statements to appropriate colleague Process Pastel Inventory Journals Process the Cashbook (Std Bank Current Account) Reconcile Cashbook Update Selling for advance payments Weekly Create Weekly Sales Report Once a month General Loan Account Recons Depreciation Down Fleet account for processing Break Down Std Bank CC for processing Do a margin exercise and update update Sales Price lists Send monthly Sales report to management Send monthly income statement to management
well as legal and regulatory requirements. Implement anti-fraud measures and report any suspicious activities daily cash reports and documentation. Assist in the preparation of financial statements and reports. Maintain
software documentation. Time and Task tracking and reporting to Head of Development. Provide valuable insights
back into line or to terminate them. Effectively report against agreed strategies, plans and required outcomes
DOI and Ethics Committee within the Scheme and reporting to Social and Ethics BOT Committee. Maintain risk
back into line or to terminate them. Effectively report against agreed strategies, plans and required outcomes
DOI and Ethics Committee within the Scheme and reporting to Social and Ethics BOT Committee. Maintain risk