discrepancies and update tracker reports. Process journals (monthly, quarterly and yearly entries). Reconcile
discrepancies and update tracker reports.
departments
departments Prepare and review tax and vat returns, journal entries, and monthly audit files Assist with fixed
made timeously) Cash book capturing Processing of journals Maintenance of general ledgers Maintenance of
reconciliations
Preparing month-end and year-end journals
Processing of COD and creditor's payments
and executive committee Ability to do month end journals, reconciliations of ledger accounts, creditor software system Financial Accounts: Process month end journals, reconciliations of ledger accounts, creditor
executive committee
and executive committee Ability to do month end journals, reconciliations of ledger accounts, creditor software system Financial Accounts: Process month end journals, reconciliations of ledger accounts, creditor
Compile weekly sales reports. Prepare and post Journal entries. Audit and Financial Period Prepare of