Perform banking functions, including loading payments and beneficiaries. Liaise with bank representatives representatives to resolve bank-related queries and request necessary confirmation letters, forms, and information for station managers. Reconcile ticket sales with bank statement receipts. Reconcile VIP and airline recharge expense accruals and accrual reversals. Maintain internal controls. Manage prepayments. Handle intercompany businesses. Prepare international payments. Assist with annual external, internal, and BEE audits. Ensure
Perform banking functions, including loading payments and beneficiaries. Liaise with bank representatives representatives to resolve bank-related queries and request necessary confirmation letters, forms, and information for station managers. Reconcile ticket sales with bank statement receipts. Reconcile VIP and airline recharge expense accruals and accrual reversals. Maintain internal controls. Manage prepayments. Handle intercompany businesses. Prepare international payments. Assist with annual external, internal, and BEE audits. Ensure
Perform banking functions including the loading of payments and beneficiaries Liaise with bank representatives representatives in order to resolve any bank related queries and request letters of confirmation, forms and for station managers Reconcile ticket sales with bank statement receipts Reconcile VIP and airline recharge expense accruals and accrual reversals Maintain internal controls Manage prepayments Manage intercompany businesses Prepare any international payments Assist in annual external, internal and BEE audits Ensure
assist the department with monthly close, billing, bank reconciliation and performs various functions in billing, process vendor payments, record and reconcile bank accounts, reconciliation of intercompany accounts Billing of monthly invoices Record and reconcile bank accounts Process intercompany transactions and reconciliations Accountant, or equivalent duties GL, Bank, AP, and AR experience International accounting experience a plus Experience
assist the department with monthly close, billing, bank reconciliation and performs various functions in billing, process vendor payments, record and reconcile bank accounts, reconciliation of intercompany accounts Billing of monthly invoices Record and reconcile bank accounts Process intercompany transactions and reconciliations Accountant, or equivalent duties GL, Bank, AP, and AR experience International accounting experience a plus Experience
recommendations. Collaborate effectively with internal teams such as legal, compliance, and operations transactions and adherence to regulatory requirements and internal policies. Implement effective marketing strategies investment structuring. Experience in auditing, banking, or sales and marketing is advantageous. Ability
accurate recording of financial transactions Performing bank reconciliations and managing accounts payable and tax returns and compliance reports Supporting internal and external audits Providing financial analysis
Responsible for managing several entities Process all bank statements, supplier and journal entries up to Trial monthly financial reports Process payments on online banking Process and reconcile supplier accounts Reconcile
financial reports, including compliance with International Financial Reporting Standards. Ensure compliance including payments, collections, and maintaining banking relationships. Manage inter-company transactions organizational goals. Manage external and internal audits and ensure robust internal financial controls. Requirements:
financial reports, including compliance with International Financial Reporting Standards. Ensure compliance including payments, collections, and maintaining banking relationships. Manage inter-company transactions organizational goals. Manage external and internal audits and ensure robust internal financial controls. Requirements: