Accurately record daily financial transactionspurchases, sales, payments, and receipts
 Handle local and international payouts, and ensure event partners are paid on time
 Reconcile bank statements and ensure account balances are spot on
 Process accounts payable and receivable, and keep supplier accounts tidy and accurate
 Maintain a clear and updated Fixed Asset Register
 Ensure compliance by managing financial documentation and approval workflows
 Support audit prep and tax processes alongside the broader finance team
 Help keep internal controls tight and effective
Qualification:
 Matric
 Tertiary qualification will be advantageous
Contact LEE-ANN SASMAN on                                         
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