accounts and preparing monthly bank reconciliations. Assist in the finance department as required to meet reporting standards, as well as the appropriate file and assisting relevant parties to trace documents on request of any non-compliance to finance standards and assisting in rectifying issues identified. Cash Books On statements and recons are stored and easily accessible. Accounting Assist in preparing debtors invoices correct differences in intercompany were required. Assist with any queries raised by management on any debtor
Process Improvement Assist in the automation of employee costing report. Assist in the implementation
account balance reconciliation and correctness of VIC Assist with preparing monthly reporting packs (Finpack
of all existing systems/processes _Treasury To assist with all software maintenance, development, and