Key Responsibilities: ACCOUNTING FUNCTIONS: Processing of all monthly accounts to Trial Balance (Multi Preparing the necessary bank reconciliations on all accounts (Multi Currency) Debtors and Creditors processing processing (Multi Currency) and balancing Reconcile accounts and resolve discrepancies when identified Ensure expenses Processing journal entries and perform accounting corrections to ensure accurate records. Preparation BANKING FUNCTIONS: Administer accounts payable from our bank accounts in multiple currencies Load and
in financial audits, financial statements, and accounting
Skills required • A good knowledge of accounting and cost accounting • Accustomed to meeting sales, profitability Responsible for preparation of monthly management accounts • Monitor internal controls in the branch Oversee
of predefined objectives as per agreed SOPs. Accountable for the execution of specialised work including
of predefined objectives as per agreed SOPs. Accountable for the execution of specialised work including
processes Familiarity with Financial systems and accounting concepts is advantageous Transactional knowledge