Duties and Responsibilities:
their team in Coega. Duties and Responsibilities: Developing and implementing cost standards for BOM materials equipment availability and utilization. Performing month-end cost accounting close Maintaining financial & financial management report. Participate in the development, documentation, and implementation of standard
day-to-day processing of transactions as well as month-end functions of balance sheet reconciliations, VAT returns Management.
The role will include the month-end processing for various companies.
Qualifications
and closing accounting modules in Syspro at month-end.
requests of Facility Managers •Processing of month-end journals and statistics •Prepare and balance inter-company all inter-company transactions •Preparing of month-end reconciliations for all Balance Sheet General Ledger
requests of Facility Managers •Processing of month-end journals and statistics •Prepare and balance inter-company all inter-company transactions •Preparing of month-end reconciliations for all Balance Sheet General Ledger
invoices/imports Accrue for all foreign goods in transit month-end Maintain the database for YTD foreign receipts Prepare review Prepare control accounts for review at month-end Keeping track of foreign payments to be made and
Accrue for all foreign goods in transit at month-end. Maintain the database for YTD foreign receipts. review. Prepare control accounts for review at month-end. Keeping track of Foreign payments to be made and
Accrue for all foreign goods in transit at month end. Maintain the database for YTD foreign receipts. review. Prepare control accounts for review at month-end. Keeping track of foreign payments to be made and
Accrue for all foreign goods in transit at month-end. Maintain the database for YTD foreign receipts. review. Prepare control accounts for review at month-end. Keeping track of Foreign payments to be made and