Financial Manager when necessary. Key Performance Areas Bank & cash - full function Property plant & Inventory General Reporting Bank & cash - full function First review of monthly bank reconciliations (Local) (Local) Preparation of monthly bank reconciliations (Foreign) Reviewing and releasing payments and providing petty cash reconciliations nationally Reporting on bank balance daily to H/O Property plant & equipment verification and compile verification reports as per BCP standard Control of additions and disposals Accounts Receivable
book / petty cash book receipt and payment journal, bank reconciliation General journals Balance Sheet Asset
sensitive financial information. Uphold ethical standards and maintain confidentiality Analytical Thinking:
Drive improvement in Tier Ratings and Performance Standards Benchmarking in SOP's and Best Practices with
adjustments in line with appropriate accounting standards Prepare valuation models using appropriate accounting accordance with the International Financial Reporting Standards (“IFRS”), Johannesburg Stock Exchange (“JSE”) Corporations Act and other relevant industry standards Prepare statutory annual financial statements
procedures are in compliance with professional standards and regulatory requirements Establish and maintain
focused, driven, and self-motivated High ethical standards consistent with the company's safety, personnel