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Coding and processing of supplier invoices/claim forms and attend to request for cheque/giro payments
Responsible for ensuring that transactions are entered into accounting system correctly and timely
Monitor supplier invoices and ensure up-to-date payments
Involved in resolving discrepancy on supplier invoices
Perform monthly intercompany and creditor reconciliations
Prepare monthly audit schedules
Prepare monthly bank reconciliation
Prepare monthly General ledger
Other ad-hoc duties assigned
To hold safety responsibilities for the role and report any unsafe situation