will be beneficial.
Responsibilities:
Bank Control Account reconciliations Monitoring and reconciliation of all wages and bank accounts. Responsible Responsible to resolve General Ledger queries from Financial Director. Update all information on the VIP system
Bank Control Account reconciliations Monitoring and reconciliation of all wages and bank accounts. Responsible Responsible to resolve General Ledger queries from Financial Director. Update all information on the VIP system
employment experience within a financial environment with exposure to financial processes and procedures.
maximise business opportunities
Management and applications Adhoc: Assist with annual financial statement audit, BBBEE audit, APAC audit and Tax
Responsibilities, but not limited to: 1. Preparation of Financial Reports: Preparation of monthly group management Ensure cash flow reports on daily basis to CFO, Financial Manager and management. Report & analyse significant
Responsibilities, but not limited to: 1. Preparation of Financial Reports: Preparation of monthly group management Ensure cash flow reports on daily basis to CFO, Financial Manager and management. Report & analyse significant
, but not limited to:
1. Preparation of Financial Reports: