Key responsibilities: Manage a dedicated team of three who are responsible for day-to-day financial processes, including cash book entries, payments, creditors, and debtors Conduct journal entries, VAT and general ledger/payroll system ...
Key Responsibilities: 1. Financial Strategy: Responsible for the budgeting and forecasting processes in consultation with the leadership team. Responsible for the preparation of financial statements to trial balance. Pro-active analys...
Key Responsibilities: Daily processing of all cash books using excel and Xero accounting packages Capture supplier and customer invoices and corresponding general journal entries Analyse financial reports, to ensure no errors or discre...
In this role you will: Check (QC) instructions accurately within agreed upon turnaround times These instructions include the CDD and RR of all legal entities and individuals Be flexible in the working hours as required by this function...
Key responsibilities: Full accounts payable and cashbook function for main office and four boutique businesses within the company group Preparation of cash flow statements Invoicing for intercompany purchases and ordering of computer i...
Key Responsibilities: Process and reconcile all credit card accounts (22 credit cards). Debit order management of the groups various obligations. Accurately perform bank reconciliations on a monthly basis. Prepare for payment and proc...
Key Responsibilities: Cash flow Bank import into Xero Weekly wages Weekly and monthly payables Monthly salaries Bank recons Card transfers Petty cash transactions Invoicing General admin Qualifications and Experience: Diplo...
Key Responsibilities: Overseeing all the financial aspects of the retail stores Overseeing all financial aspects of the licensing company. Overseeing 1 dedicated clerk for the mall stores to capture the cash book, check systems sales t...