Responsibilities:
· Ensure timely preparation of monthly and yearly financial statements.
· Prepare and lodge GST and company tax.
· Prepare monthly bank reconciliations.
· Carry out various stock and general ledger reconciliations.
· Maintain an up to date Fixed Asset Register.
· Carry out all Accounts Receivable functions including debtors follow up, account reconciliations, receipting and cash handling.
· Provide various management reports to management on a timely manner.
· Effectively supervised subordinate staff.
· Provide report to management on operational costs and advice on ways in reducing operational costs.