Accountabilities / Key Performance Areas:
- Cashflow
- Fixed deposits
- Bank statements
- VAT
- Fixed assets (additions, disposals, LIP)
- Journals
Requirements:
- Diploma/NQF6
- Higher Certificate
functions Provisions and accruals Management of Balance sheet reconciliations. Monthly preparation and analysis
performance evaluation. Proficiency in interpreting balance sheets, income statements, and cash flow statements functions Provisions and accruals Management of Balance sheet reconciliations. Monthly preparation and analysis
performance evaluation. Proficiency in interpreting balance sheets, income statements, and cash flow statements functions Provisions and accruals Management of Balance sheet reconciliations. Monthly preparation and analysis
functions. Manage Provisions and Accruals. Conduct Balance sheet reconciliations. Prepare monthly management
Word and Excel intermediate.
Services Division; Review of management accounts, balance sheet reconciliations and report on variances (Hyperion);
Services Division; Review of management accounts, balance sheet reconciliations and report on variances (Hyperion);
Division;