Job Description
The role will also include maintaining reports, supporting the month end process, and various accounting duties for the company as well as AR cover
Responsibilities and Duties
- Completing bank reconciliations
- Entering financial information into appropriate software programs
- Managing company ledgers
- Processing business expenses
- Supporting internal and external audits
- Assisting with Item set up and standard costing setup
- Complete Balance Sheet reconciliations and rectify discrepancies
- T&A system management
- Post AR receipts
- Liaise with third parties to ensure on time debt collection
- Customer Credit reviews
- Prepare aged debt provisions
- Cover for intercompany reconciliations
- Raising AP payments
- Prepare Stock provision reporting
- Cash flow reporting
- Import tax reconciliations
- Supporting with the month end process to ensure key deadlines are met
- Handling accruals and prepayment
- Review GL entries and make necessary process improvements
- Support the financial controller to Ensure process documents are complete and remain up to date.
- Reviewing computer reports for accuracy
- Resolving errors in financial reports and correcting faulty reporting methods