position will report to the CEO. Manage and control all transactions on relevant platforms. Reconcile company bank statements and bookkeeping ledgers. Generating all required financial reports using the income and expenditure financial statements. Ensure the company complies to all required legislation and regulations. Preparation
to join their team. Completion of and maintaining all financial records to trail balance. • SARS submissions
reconciliations and weekly payments
AREAS
Bank reconciliations and weekly payments Process all ad hoc supplier and customer accounts / transactions