Reconcile general ledgers and ensure accuracy in financial records
Manage supplier accounts, including reconciliations and payments
Oversee cashbook preparation and reconciliation for smooth financial operations
Handle foreign exchange contracts, with a focus on cash flow management
Qualifications & Skills Required:
BCom Accounting/Finance or related qualification.
At least 2 years of experience
Proficiency in ERP systems and advanced Excel skills.
Strong skills with AFS preparation
Excellent communication and stakeholder engagement skills
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