Description:
Staff Management
Oversee the end-to-end reconciliation process for banking and sales transactions across multiple channels
Ensure accuracy and timeliness in reconciling bank statements with sales data
Investigate and resolve discrepancies
Identify opportunities to automate and standardise reconciliation processes
Implement advanced tools to improve efficiency and accuracy
Develop and document Standard Operating Procedures (SOPs) for reconciliation workflows
Generate regular reports on reconciliation status, discrepancies, and trends
Ensure compliance with financial regulations and internal audit requirements
Qualification:
Bcom Accounting degree or equivalent
Contact LEE-ANN SASMAN on
05 Apr 2025;
from:
gumtree.co.za