Search Results: 5 vacancies
...and resolves financial discrepancies
Complete month end procedures including transaction processing up to trial balance and reconciliations
Updating of fixed asset register
Group Transactions
Group Debt collection
Staff management
Consultant: Anna-Belle...
...Perform regular, detailed audits to ensure accuracy in financial documents, expenditures and investments.
Oversee ledger reconciliation and manage accounts payable/receivable.
Participate in budgeting processes.
Oversee the Various Units Accounts Receivables...
...record for a store’s financial transactions
3. Capturing of cheques, other deposits, and debits on bank statement
4. Reconciliation of balance sheet control accounts and submission of monthly pack including certain Income & Expenditure accounts
5....
...Manage trial balances
2. Process monthly journals
3. Manage Fixed Asset Register
4. Preparation of Balance Sheet reconciliations
5. Preparation of management accounts
6. Preparing and submitting VAT returns
7. Banking management
8....
1.GRN Verification
2.Creditors Reconciliation
3.Process Supplier Payments
4.Queries Resolution
5.General Administration
6.To uphold and promote the company values and culture
Requirements
1.Grade 12
2. 4 years related experience
3. Related certificate...