Assist the Group Finance Manager to facilitate the day-to-day accounting operations of the companies within the Group and assist management to comply with corporate, legal and fiduciary regulatory responsibilities.
Job Description
Daily revenue reconciliation
Credit control and collection function
Timely month-end closing for Sales and Accounts Receivable function
Bank and other balance sheet reconciliation
Monthly and ad-hoc Supplier payment function
Assist in weekly counting cash sales and ensure completeness.