Responsible for managing several entities Process all bank statements, supplier and journal entries up to Trial monthly financial reports Process payments on online banking Process and reconcile supplier accounts Reconcile
activities. Coordinate with banks and financial institutions to optimize banking operations. Develop and
creditors, debtors, bank transactions, and financial statements
Reconcile bank accounts and prepare
up and changes, administering bank portal access and independent bank verification Work closely with
up and changes, administering bank portal access and independent bank verification Work closely with
with VAT, Corporate Tax & Withholding tax Banking & Treasury Maintain creditors database and registers and IFRS16 lease calculations Reconcile bank accounts in multiple currencies (USD, EUR, ZAR,
up and changes, administering bank portal access and independent bank verification Work closely with
with VAT, Corporate Tax & Withholding tax Banking & Treasury Maintain creditors database and registers and IFRS16 lease calculations Reconcile bank accounts in multiple currencies (USD, EUR, ZAR,
client's core business is more along the lines of banking, lending established SME's money for business growth investment structuring Experience in auditing, banking and / or sales and marketing will be advantageous
client's core business is more along the lines of banking, lending established SME's money for business growth investment structuring Experience in auditing, banking and / or sales and marketing will be advantageous