statement to our records File accounts after month end Reconcile bank statements to payments issued Sort excel Sending remittance/reconciliation, at month end, to all suppliers Prepare COD suppliers for payment process month-end journals by set deadlines Make copies and prepare schedule for year-end (audit requirements)
statement to our records File accounts after month end Reconcile bank statements to payments issued Sort excel Sending remittance/reconciliation, at month end, to all suppliers Prepare COD suppliers for payment process month-end journals by set deadlines Make copies and prepare schedule for year-end (audit requirements)
and in new environments Ability to deal with operations across the globe in different languages with for overhead cost allocation across all global operations. Update raw material costs, labour, and overhead against the recovery rates, based on actual quarter-end results, to evaluate the necessity for recovery rate
and in new environments Ability to deal with operations across the globe in different languages with for overhead cost allocation across all global operations. Update raw material costs, labour, and overhead against the recovery rates, based on actual quarter-end results, to evaluate the necessity for recovery rate
communication with various departments Assist with year-end audit Handle company insurance Liaise with outside
communication with various departments Assist with year-end audit Handle company insurance Liaise with outside
projects as required by the financial manager or Operations department. Salary: R negotiable dependent on
projects as required by the financial manager or Operations department. Salary: R negotiable dependent on