FRS Review and reporting on all company costs Maintenance of effective, reliable, and efficient accounting Review and processing of integration batches Maintenance of account codes, cost centers, and segments of cash book entries and fixed asset register maintenance Evaluation and processing of standing journals
amounts. Petty cash transactions capturing and maintenance of petty cash. Preparing cross border documents authority systems and payments made on time. Maintenance of asset register and monthly depreciation. Monthly
invoices and statements - Queries - Contract maintenance - division list to be drafted Payments - Daily
Financial Accounting Assist in implementation and maintenance of departmental accounting policies, procedures
Management for cash meetings Preparation and maintenance of monthly creditors reconciliations of high