the brokerage, and broker services; Dealing with general insurance and policy specific enquiries; Dealing
journals Creditors' reconciliations and queries General filing Assisting with reports Assisting with maintaining
amlessly integrate Omni applications with O2F General Ledger.
provisions to address identified risks. Prepare general ledger reconciliations on a monthly basis. Identify changes in business & resulting calculations. General review of stock balances to identify any anomalies
and validity of the balances reported on in the general ledger accounts.
Balance Sheet Reconciliations