monthly bank reconciliations Reporting on transactions to management Queries resolution Reconcile cash sales
monthly bank reconciliations Reporting on transactions to management Queries resolution Reconcile cash sales
time weekly and monthly reporting on transactions to management Assist with daily customer queries Accurately
financial records, including recording all transactions, managing accounts payable and receivable, and reconciling
with SARS Update bank accounts and process transactions Manage debtors/creditors: Be responsible for loan
efficient execution of bank and related transactions; cash flow management and forecasts; internal and external
responsible for managing accounting transactions and preparing management accounts for the group's largest Payable & Intercompany transactions Maintain the Fixed Asset Register Manage inventory Assist the Financial
Commercial / M&A Transaction negotiation experience Ability to independently manage transactions from
and structuring of grain transactions. Responsibilities: Marketing and management of grain against set targets;
and structuring of grain transactions. Responsibilities: Marketing and management of grain against set targets;