processing of financial transactions (payments, journals, bank reconciliations, receipts) and statutory returns compliance with relevant regulations and accounting standards • Check and verify all entries made into the financial reconciliations to check balances back to ledger and bank statement and sign off for filing • Process monthly Online, Pastel, Hyphen etc. • Conduct daily check on bank accounts to verify payments and ensure sufficient
CSR/Fair Trade and Sustainable Agriculture related standards. Monitor and ensure smooth certification flow
CSR/Fair Trade and Sustainable Agriculture related standards. Monitor and ensure smooth certification flow
statements in line with applicable accounting standards; Assist managers with various client matters,
statements in line with applicable accounting standards; Assist managers with various client matters,
will ensure a high level of service delivery standards to clients. The incumbent will actively be involved