Description Job Overview: To conduct creditor accounting and administration. Reporting to: Financial Controller balance including all reconciliations, Balance Sheet Accounts and supporting documentation Banking: Administer required) Forex: Revalue foreign creditors and bank accounts Conduct Foreign Payment administration Statutory
Description Job Overview: To conduct creditor accounting and administration. Reporting to: Financial Controller balance including all reconciliations, Balance Sheet Accounts and supporting documentation Banking: Administer required) Forex: Revalue foreign creditors and bank accounts Conduct Foreign Payment administration Statutory
with IFRS General Ledger: Review balance sheet account reconciliations. Review and authorise Journal entries audit plan. Prepare and review year-end reporting accounting and Tax Packs Follow up and action audit findings Risk (insure Debtors Book, etc.) Review tooling account Continuous Improvement: To be the custodian of (Continuous Improvement) database and CI Standards of accounting. Reporting: Analyse and interpret finance reports