Account, Review and verify accuracy of journal entries and accounting classifications assigned to various records according to IFRS and Group Financial Policies and Procedures.
Coordinate and review accounting work assignments for accuracy and completeness.
Understanding of Interfaces and impact on financial statements.
Analyze and reconcile various balance sheet and income statement accounts; prepare and post journal entries.
Investigation of incoming invoices
Reconciliations of Sales, Banking Transactions & Receivables, Payables
Freight - Accounting , Analysis & Control
Inventory Valuations & Provisioning