is responsible for overseeing the accurate and complete reporting of the group financial results. The reviewing of group books ensuring accuracy and completeness – Provision of monthly results – Assist with monthly VAT, reconciliations and creditors. – Review work of recon clerks and bookkeepers – Detect internal – Ensure all controls that are implemented are working properly – Assist with and manage ad-hoc reporting
Deliver clear and direct instructions • Coordinate work activities • Follow up on objectives • High standard