Duties: Compile balance sheets, income statements and cash flow statements. Record daily transactions, including
Maintain and reconcile general ledger accounts Manage cash flow and working capital Analyse and report on financial
when necessary. Processing bank, card, and petty cash transactions, reconciling accounts, and reporting
when necessary. Processing bank, card, and petty cash transactions, reconciling accounts, and reporting
Maintain and reconcile general ledger accounts Manage cash flow and working capital Analyse and report on financial
industry standards Managing budgets, forecasts, and cash flows Leading and mentoring the finance team Collaborating
industry standards Managing budgets, forecasts, and cash flows Leading and mentoring the finance team Collaborating
statements—balance sheets, income statements, and cash flow statements—in compliance with accounting standards
statements—balance sheets, income statements, and cash flow statements—in compliance with accounting standards
about FIC reporting requirements. Competent in petty cash processing and reconciliations. Readiness to handle