reconciliations Submit EMP201 returns TAX Cash flow Cashbook entries & bank reconciliations Petty Cash administration
reconciliations Submit EMP201 returns TAX Cash flow Cashbook entries & bank reconciliations Petty Cash administration
to / from Shared Service to process accounting entries Cash flow management to maintain accuracy of treasury
to / from Shared Service to process accounting entries Cash flow management to maintain accuracy of treasury
and transfers) Accruals accounting and impact of entries on profit and loss, balance sheet and the cash
and transfers) Accruals accounting and impact of entries on profit and loss, balance sheet and the cash
and transfers) Accruals accounting and impact of entries on profit and loss, balance sheet and the cash
and transfers) Accruals accounting and impact of entries on profit and loss, balance sheet and the cash
Certifications are a plus. SAICA articles/ CFA levels completed. Strong academic records, awards and
4 - 6 Years' experience in a similar role Basic level in MS Excel Hospitality Industry experience If you