asset registers. Preparing and balancing of the bank reconciliations. Propose and implement financial compliance with all statutory requirements. Forecast cash flow positions related to borrowing needs and available
transactions (Sales & purchase invoices & bank statements) Bank reconciliations Payments Debtors & creditors
Assist with BBEEE and financial audits Liaison with banks and suppliers Liaison with SARS CIPC Company registrations
Assist with BBEEE and financial audits Liaison with banks and suppliers Liaison with SARS CIPC Company registrations