Description:
- To manage trade receivables and client account enquiries
- Data entry and maintaining accurate accounting records
- Capturing and reconciliation of intercompany transactions
- Assist with financial reporting and budgeting (Power BI)
- Verification on trade payables
- Provide timely accounting data to other departments
- Collaborating with auditors and capturing expense claims
- Administer general tasks within the finance department
Requirements:
- To manage trade receivables and client account enquiries
- Data entry and maintaining accurate accounting records
- Capturing and reconciliation of intercompany transactions
- Assist with financial reporting and budgeting (Power BI)
- Verification on trade payables
- Provide timely accounting data to other departments
- Collaborating with auditors and capturing expense claims
- Administer general tasks within the finance department
Relevant qualification required
27 Mar 2025;
from:
careers24.com