Monthly Management Pack Responsible for all Balance Sheets Accounts Monthly GL Reconciliations Analysis
courses of action. Prepare management reports, trial balances and cashflow. reconcile the bank and statements
management reports. Full accounting function to trial balance. Drafting of annual financial statements for
Corrective journals jourals wrt annual closing balance before annual roll over Affiliated transactions /Change of stationery year end roll over Dialy bank balances sent to Directors Adhoc Financial Control – Assits
Matric Computer Literate Relevant Accounting or Bookkeeping Qualification would be an advantage Experience:
marketing support with large chains (e.g. free broad sheet exposure, discounted gondola end opportunities etc
marketing support with large chains (e.g. free broad sheet exposure, discounted gondola end opportunities etc