with SAICA's guidelines Performed various reconciliations Compilation of financials for Close Corporations
with Sage Accounting an advantage Creditors reconciliation and payments a must Capturing of cashbooks
flow statements.
delivery to support decision making Perform bank reconciliations Compile ad-hoc financial reporting Qualifications
support decision making. Perform creditors reconciliations. Prepare Vendor registration transactions.
delivery to support decision making Perform bank reconciliations Compile ad-hoc financial reporting Qualifications
preparation and query resolution Monthly bank reconciliations based on predefined deadlines Month-end accounting
and ensure proper documentation Perform bank reconciliations and resolve any discrepancies Monitor cash
preparation and query resolution Monthly bank reconciliations based on predefined deadlines Month-end accounting
Financial management skills and training. Finance reconciliation and auditing skills. Problem solving skills