audit processes and other tasks required to assist in the effective management of the entire Group finance finance function. KEY PERFORMANCE AREAS Management Accounts Reconcile balance sheet accounts monthly and investigate journals processed by the Group Financial Manager. Manage the accuracy, completeness and validity of accuracy, completeness and timeliness of taxation requirements. Calculate and reconcile the monthly EMP201 weekly, monthly and ad hoc payment process, and managing the cashflow between Group bank accounts. Ensure
general ledger payments Reviewing and balancing of factory shop Point of sale transactions Submitting monthly involve close working relationship with financial manager, other members of the finance team, external auditors auditors, insurance company and banks REQUIREMENTS Diploma / Degree in Finance or equivalent 3-5 years