records. Responsible for processing daily transactions, managing accounts payable and receivable. Assist
sure prompt and accurate cash flow and transaction management of client flow instructions
update the company's financial records and transactions Manage accounts payable and receivable, including
OLA Management: Processing all required transactions, managing probable exceptions to stay in OLA Staff
all financial transactions are concluded by executing on financial month end close • Manage the billing accuracy and completeness of intercompany transactions • Management of inter-company balances and transaction
month variance reporting. • Intercompany transaction management, including maintaining and issuing intercompany
month variance reporting. • Intercompany transaction management, including maintaining and issuing intercompany
with SARS Update bank accounts and process transactions Manage debtors/creditors: Be responsible for loan
Java-Multithreading, session management/pooling, transaction management Monitoring: AppDynamics, Dynatrace, Grafana
cashbook duties, including daily banking transaction imports and managing automatic allocation systems, with