Managing accounts receivable and revenue audit function.
Understand and assist the accounts payable role
Fill in for accounts payable role when needed
Monitor accounts payable email folders are addressed
Credit card reconciliation done regularly
Assist the Financial Controller and Management Accountant to complete the month end process (journals)
Assist the Financial Controller and Management Accountant during the statutory audit
Assist with balance sheet reconciliations
Any adhoc and admin tasks requested by Financial Controller or Management accountant
Preparation of monthly cash flow/draw and request funds as required
Analyse and reconcile bank statements to ensure preparation of cash flow
This smaller entity is managed by external accounting function, but will be managed in-house, in due time, assistance will be required, not applicable at the moment
Reconcile bank statements of the development entities
Bookkeeping and preparation of monthly/quarterly management accounts
Liaising with the auditors and assisting in the statutory audit of these entities
Weekly monitoring of prepaid card transactions and posting the same