/ Management Statements - Processing of Bank statements - Bank reconciliations - General Ledger reconciliations
agencies. Handle accounts payable and recievables, bank reconciliation payroll and cash management and inventory inventory, analysing supplier performance and tracking sales. Develop and implement accounting controls and procedure
agencies. Handle accounts payable and recievables, bank reconciliation payroll and cash management and inventory inventory, analysing supplier performance and tracking sales. Develop and implement accounting controls and procedure
salary recons are accurately completed Bank recons Ensure that all bank recons are accurately completed Fixed
transactions, including sales, purchases, receipts, and payments. - Process and reconcile bank statements, credit
transactions, including sales, purchases, receipts, and payments. - Process and reconcile bank statements, credit
traded in Accountable for classifying, capitalizing, sales, POD/invoicing and collecting related documents reconcilliations and month-end reconcilliations Bank Reconcilliation Recon of loans accounts Tax preperations
industries: manufacturing, distribution, warehousing, banking, cash management. Experience with Syspro ERP system
Analyse costs, pricing, variable contributions, sales results and Division's actual performance compared reports. Ensure accurate, complete and valid weekly sales forecasting to monitor progress against budget. Chartered Accountant (CA) Registered with the South African Institute of Chartered Accountants (SAICA) or ACCA
needed. Liaise with external stakeholders such as banks, regulators, and tax authorities. Ensure that all