articulate team player who is passionate about account management and customer experience? If so, you might be literate. Strong attention to detail. Ability to manage self and territory. The structure delivers a cost
articulate team player who is passionate about account management and customer experience? If so, you might be literate. Strong attention to detail. Ability to manage self and territory. The structure delivers a cost
The General Accountant will be supporting the existing financial team with the reconciliation of day-to-day trail balance and accurate management accounts, and offer technical support to the general staff for accurate accurate processing Preparation of monthly management accounts Reconcile balance sheet accounts Process reconciliation of creditors statements to supporting documentation Management of the accounts receivables aging budgets Reconcile daily cash ups Validate customer credit applications Process Monthly Salaries & Weekly
3-way match . Follow up on outstanding invoices and credit notes with suppliers. Resolve supplier queries Adhoc duties required by the Accounts Payable Manager or Audit. Team Player and assist team members when Performing reconciliations. Preparing schedules and supporting documents for balance sheet accounts reconciliations
Prepare VAT reconciliations and process e-filing Credit Card Reconciliations and payments Fleet Card reconciliations non-stock goods Management of petty cash Evaluating and reporting on stock Preparation of management accounts
will provide organizational and administrative support and will be responsible for all activities related thereof Liaising with landlords, property managers and centre managers for various reasons including escalated
will provide organizational and administrative support and will be responsible for all activities related thereof Liaising with landlords, property managers and centre managers for various reasons including escalated
experience Accountant Provision and interpretation of management information Provision of financial expertise Implementation of systems Management of assets and liabilities Ensure that key ratios are managed and achieved Ensure processing takes place on time in order to produce management reports before month end Ensure accuracy of all Prepare weekly cash flow forecasts Prepare monthly management reporting packs Prepare financial reporting packs Accounts Payable are accurate Work closely with management to facilitate operational processes such as sales