Position Overview
What You'll Do
A. Accounts Payable (AP)
- Manage full AP cycle: invoice verification, coding, posting and payment processing
- Ensure proper documentation and approval before payment
- Reconcile vendor statements and resolve discrepancies
- Monitor AP aging and ensure timely settlement
- Maintain accurate filing and audit trail
B. General Ledger (GL)
- Analyse transactions extracted from Data Warehouse and prepare the corresponding billing and journal entries.
- Perform weekly bank and balance sheet reconciliations.
- Support month-end and year-end closing.
- Assist in preparation of management reports and audit schedules.
C. Controls & Compliance
- Ensure compliance with accounting standards and internal SOPs
- Maintain strong internal controls and proper documentation
- Identify and resolve reconciliation issues promptly