records, ensure compliance, and handle various administrative tasks efficiently. Maintain accurate financial documentation and client procedures. Assist with administrative tasks, including system setup and social
records, ensure compliance, and handle various administrative tasks efficiently. Maintain accurate financial documentation and client procedures. Assist with administrative tasks, including system setup and social
transactions; ensure legal requirements compliance. Assists with the developing a system to account for financial all group entities. Attends inventory counts and assists Financial Manager with reconciling inventory balances and summarizing account information and trends. Assists Financial Manager in the preparation of Monthly and train junior finance staff (Reportees - Accounts Payable and Cashbook Clerks). Assist with all tasks
transactions; ensure legal requirements compliance. Assists with the developing a system to account for financial all group entities. Attends inventory counts and assists Financial Manager with reconciling inventory balances and summarizing account information and trends. Assists Financial Manager in the preparation of Monthly and train junior finance staff (Reportees - Accounts Payable and Cashbook Clerks). Assist with all tasks
to inform management on all aspects of company finance. Develop financial reports and metrics. Key Performance continuous improvement methodology to improve Finance KPI development and tracking. Clear and concise regulations, accounting standards, and relevant laws. Assist in preparation of annual financial statements, Policy and IFRS Assist in improving internal controls related to inventory processes. Assist in inventory
reports on account status and collection efforts. Assisting with month-end closing processes. Sending out accounts and then to suspend services to the clients. Assist with the Intercompany accounts. Reporting on Debtors Debtors – weekly analysis with comments. Assisting with the bad debts provision. Updating client database