reconciliations. Accurately prepare and review all reconciliations. Ensure all accruals and journal entries up to cost allocations for payments and deposits. Manage all payments and allocation of receipts (i.e. cheques debtors: Calculate all additions, disposals and depreciation of assets. Align all physical assets with accounting policies and procedures are followed at all times. MUST HAVE AUTOMOTIVE/DEALERSHIP EXPERIENCE
level Strong MS Excel skills Prepare and payment of all statutory payments Prepare audit information Review
and reconciliations.
balances and reconciliations. Ensure accuracy in all reconciliations and the timely update of accruals allocations for payments and deposits, managing all payment processes including cheques and electronic
balances and reconciliations. Ensure accuracy in all reconciliations and the timely update of accruals allocations for payments and deposits, managing all payment processes including cheques and electronic
Reference: NFR003443-MAK-1 Calling all Financial Maestros: Bookkeeper Position Available Now Are you
Reference: NFR003443-MAK-1 Calling all Financial Maestros: Bookkeeper Position Available Now Are you
Directors and carry out thorough bi-monthly audits of all stores.
Directors and carry out thorough bi-monthly audits of all stores. Audit Preparation: Gather essential information