Opportunity Description
Record financial transactions for project, department, or company.
Prepare financial statements for internal and external use.
Reconcile spending with budget as part of job costing.
Analyse financial performance and forecast longer term horizons.
Recommend methods and strategies for cutting costs.
Maintain records and support auditing efforts.
Advise company and/or department management on financial decisions.
Make upper-level strategy recommendations based on financials.
Submit accurate monthly bank reconciliations for approval.
Process journals to the general ledger and ensure all journals are authorized before processing.
Ensure that the relevant balance sheet account reconciliations are completed on a monthly basis and approve once done.
Finalize balance sheet account reconciliations for debtors and creditors and approve once done.
Responsible for debt...
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