Join a team recognized for leadership, innovation and diversity
Join a team that is responsible for providing accounting support for businesses. You will be responsible for monthly electronic reconcilliations process and General ledgers.
In this role you will be responsible for tax payments to the Government. You will actively support income tax assessment working and schedule preparation for old periods.
You are required to support service tax audits or assessments.
Access daily bank statements to ensure the correct cash records and controls over the receipt and payment of cashEnsure accuracy of payments to suppliers and any other wire transfers and administers associated documentationPrepare and post journal entries, timely and accuratelyReview and perform analysis on accounting transactions related to cash transfer and resolve outstanding balancing issuesPerform bank and cash pool accounts reconciliations and submit month-
end closing reconciliation in a timely mannerProvide support in the preparation of periodic financial reports and maintain an adequate system of accounting recordsSupport auditors in conducting internal and external auditsEnsure the compliance with organizational policies by developing and maintaining respective processes and procedures
Ensure timely book closure
YOU MUST HAVE