Finance Assistant.
Current• High volume, end to end Accounts Receivable and Accounts Payable processing• Daily bank administrative tasks involving reconciliation bank accounts.• Preparing and filing monthly PAYE and preparing bi-monthly GST returns.• Processing month end reports.• Ensuring efficient and accurate processing of invoices, credits and monthlystatements• Assist with filing and records management.• Assist in all Banking matters on a daily basis.• Assist with collation of laboratory results and sending out of provisional results.