Job Description
Daily bank reconciliations of various banks
Extract daily stock report for Production Manager
Stock take as per instruction from Group Management Accountant and reconciliation
Import loan reconciliation
Reconciliation of bin card against stock records on SUN system
VAT calculation and payment
Maintain accurate financial records and reports
Process invoices, receipts & payments
Assist with monthly account reconciliations
Support budgeting and financial planning
Handle administrative duties related to accounts.
Job Requirements
HSC Holder with Accounting
ACCA Level 1 or 2
Minimum 1 Year or Experience in similar position will be an advantage.