We are seeking applications from motivated and results-driven professionals to join our organisation. If you have the talent, then we have the opportunity!
LOCATION: MHCC
KEY DUTIES:
Perform daily, weekly and monthly reconciliations of bank, ledger and transactional accounts
Identify, investigate and resolve discrepancies in a timely manner
Maintain accurate records and documentation of reconciliation processes
Collaborate with internal departments and resolve outstanding items
Prepare and submit regular reports on reconciliation status out outstanding issues
Support audits by providing documentation and explanations as needed
Contribute to process improvement initiatives and automation of reconciliation tasks
REQUIREMENTS:
Relevant tertiary qualification
Proven experience in a reconciliation, accounting or finance related field
Strong knowledge of financial systems
Proficient in Microsoft Excel
High attention to detail with strong...