Financial Controller in preparation of the financial reporting requirements. •Compilation of Annual and Interim •Liaise with group secretarial with respect to CIPC reporting and XBRL. •Prepare the detailed balance sheet basis. •Reconciliations for the US-anti-dumping reporting and support marketing & sales departments inventory count and related reconciliations and reporting. •Monthly Company function •Through the team, each of the key processes. •Loading on supplier banking details. •Manage the accuracy of the business unit's
clients; Daily capturing of payments onto the banking profile; Complete payment authorisations to accompany management; Processing of journal, invoices and bank statements onto pastel; Assistance with SARS VAT with monthly checking of project expenses against Bank statement; Maintain a highly organized filing system
the need arise Conducting / Reviewing daily CCTV report & Hosting meetings. Instructing the actions actions of all incidences & outcomes of the CCTV report. Issuing disciplinary notices (warning, letter
the need arise Conducting / Reviewing daily CCTV report & Hosting meetings. Instructing the actions actions of all incidences & outcomes of the CCTV report. Issuing disciplinary notices (warning, letter
implemented as requested through implementation and or reported losses. (In conjunction with Management Team to