This is an excellent opportunity to join a growing company and progress your career.
You will have the following Duties:
*Performing daily cash and bank reconciliations
*Query Resolution
*Purchase ledger invoicing
*Banking and balance sheet reconciliations including journal postings
*Highlight areas of financial risk within the cash process to management on a timely basis
*General administrative tasks
*Assisting with interim/ year-end audit and tax packs
*Responding to Ad hoc queries from depots staff and management
Reference no: 10343
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