bank reconciliations. Compile and submit monthly General Ledger reconciliations. Identify and address unreconciled
Financial Record Management: Maintain and manage the general ledger and ensure all financial transactions are
and/or preparation of minutes, resolutions, and general correspondence. Review of annual financial statements
Trial balance and balance sheets reconciliation General ledger and income statements reconciliation Cash
and/or preparation of minutes, resolutions, and general correspondence. Review of annual financial statements
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
efficiency. Administrative Support: Providing general administrative support, including managing office
expected from the employer from time to time. General: To undertake any other duties as requested by
expected from the employer from time to time. General: To undertake any other duties as requested by
standards and relevant legislation. Providing general assistance to the Financial Director.