Treasury function management Intercompany loans reconciliations management Exports accounting and FEC function Provisions and accruals Management of Balance sheet reconciliations. Monthly preparation and analysis of management
Stock ordering. Stock rotation. Fuel account reconciliation. Weekly reports. Gr 12 completed with 3 years'
Stock ordering. Stock rotation. Fuel account reconciliation. Weekly reports. Gr 12 completed with 3 years'
existence of transactions. • Ensure proper reconciliation and review of balance sheet accounts & Investigate/explain/intervene in budget variances. • Reconciliation of reports to operating systems. • Test the
improved control environment. Ensure proper reconciliation and review of balance sheet accounts & explain or intervene in budget variances. Reconciliation of reports to operating systems. Test the
management and measure project profitability. Daily reconciliation of project costs to actual expenditure incurred & compliance. Cashbook maintenance and reconciliation. Maintenance of the fleet reports. Compilation
and stock-taking tasks. Complete daily stock reconciliations and report variances to management. Handle
with month-end closing activities, including reconciliations. Support the finance team & sales team
financial accounting tasks. Balance Sheet Reconciliations. Review journals. Corporate Budgets and Forecasts
and invoices on the Sage system. •Assist with reconciliation of company credit cards. •Attend to any ad