Function: Prepare and maintain Balance Sheet reconciliations Generate journals for necessary accounting Prepare monthly VAT reconciliations Compile monthly withholding tax reconciliations Calculate quarterly
Function: Prepare and maintain Balance Sheet reconciliations Generate journals for necessary accounting Prepare monthly VAT reconciliations Compile monthly withholding tax reconciliations Calculate quarterly
inter-divisional reconciliations Review head office and operational GL reconciliations Manage banking and
inter-divisional reconciliations Review head office and operational GL reconciliations Manage banking and
skills. Duties: Dealing with Foreign creditors reconciliations Processing of supplier invoices Capturing monthly
skills. Duties: Dealing with Foreign creditors reconciliations Processing of supplier invoices Capturing monthly
inter-divisional reconciliations Review head office and operational GL reconciliations Manage banking and
inter-divisional reconciliations Review head office and operational GL reconciliations Manage banking and
to maintain accuracy of treasury forecasts reconciliation between actual and forecast Business partnering
to maintain accuracy of treasury forecasts reconciliation between actual and forecast Business partnering