month-end, year-end and quarterly reviews Process GL journals and ensure entries are correctly processed in
Responsible for the Following: Generate monthly journals on the financial system Implement improvements
Responsible for the Following: Generate monthly journals on the financial system Implement improvements
for recording transactions in the ledgers, and journals responsible for control over funds and assets
invoices and generating customer invoices. Prepares journal entries and reconciles general ledger and subsidiary
for recording transactions in the ledgers, and journals responsible for control over funds and assets
VAT calculations & submissions Tax planning Journals & Reconciliations Control fund & assets
VAT calculations & submissions Tax planning Journals & Reconciliations Control fund & assets
responsibilities such as reviewing, preparing post month-end journals, incorporating necessary accruals to ensure comprehensive
Customer type Assist in Month-end Closing, prepare Journal entries, Analyse Inventory valuation Prepare Cost