staff claims and payments Processing accounting entries to GL / TB Supporting month-end and year-end processes
reports. Compiles financial information to prepare entries to accounts, such as general ledger, documenting
Analyzing data for reports. Processing asset ledger entries. Performing bank reconciliations. Completing FIC
Analyzing data for reports. Processing asset ledger entries. Performing bank reconciliations. Completing FIC
including preparation of management account journal entries.
Prepare various monthly Income
invoices Reconciling processed work by verifying entries and comparing system reports to balances Ensuring
actions if required. • Prepare & review journal entries and account reconciliations using accounting judgement senior management and a range of stakeholders at all levels. • Engaging in relevant training regarding Global appropriate training and career development for all levels of professionals in his/her group • Interacting
actions if required. • Prepare & review journal entries and account reconciliations using accounting judgement senior management and a range of stakeholders at all levels. • Engaging in relevant training regarding Global appropriate training and career development for all levels of professionals in his/her group • Interacting
(Advantageous) 3-5 years post article experience. Previous logistics industry experience will be advantageous. The