Job Duties
- Prepare and process payments, invoices and claims.
- Reconcile accounts payable transactions and monitor accounts to ensure payments are up to date.
- Input tax – GST reporting.
- Bank reconciliation.
- Support monthly, quarterly and yearly closing administrations.
Job Requirements:
- LCCI/ CAT/ ITE in Accountancy.
- Preferably 1 year of relevant experience.
- Team player with good communication and initiative.
- Training will be provided where necessary.
