Ensure that daily financial records are kept accurately and complete
Process accounting transactions and ability to pull reports to ensure that all accounts are reconciled correctly on a monthly basis
Sales Reconciliations
Cash and Bank Reconciliations and administration
Cashbook and credit card processing
Journal entries and General Ledger maintenance
Prepares and records asset, liability, revenue, and expenses entries
Assists with audit preparations
Supervising accounting staff
Prepare financial reports
Stock reconciliations
Skills & Experience: Minimum 4 years of accounting experience within the commercial space
Great communication
Qualification:Any relevant finance qualification
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LEE-ANN SASMAN on
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