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About the Role
- Process and verify vendor invoices, purchase orders matching, staff claims and expenses
- Schedule payment runs and prepare payments via bank transfer
- Reconcile vendor statements, track outstanding balances and resolve discrepancies with vendors and internal stakeholders
- Issue invoices, progress billing and email to clients
- Liaise with internal stakeholders to provide updates on billing status and progress claims billings
- Process bank receipts and resolve payment discrepancies
- Issue statement of accounts and follow up on overdue payments
- Assist in cash flow planning by providing accurate receipts/payments information
- Perform bank reconciliations and assist with month-end closingAssist with general ledger activities and finance operations as assigned
Requirements
- Diploma in Accountancy or Certificate in Finance equivalent qualification
- Minimum two years of relevant Ac...
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