Assist with the preparation of financial statements and management reports.
Process and record accounts payable and accounts receivable transactions accurately and on time.
Enter and verify the accuracy of financial data in accounting systems.
Perform regular bank reconciliations and resolve discrepancies as needed.
Maintain organized and accurate financial records and documentation.
Support budgeting processes and financial forecasting activities.
Collaborate with the accounting team on various projects and ad hoc tasks.
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