processes. Develop and manage an accurate monthly general ledger reconciliation. Develops and manage a risk
processes. Develop and manage an accurate monthly general ledger reconciliation. Develops and manage a risk
annual reports for the company, and the Auditor General
? Contract Duration: 5 years
? Centre:
of the month Clearing all allocated cash in the General Ledger Allocating all processed credits to the
basic accounting principles and able to reconcile general ledger /key supplier accounts A good understanding
(CPA) or relevant role Thorough knowledge of Generally Accepted Accounting Principles (GAAP) Experience
implementation Key outputs and deliverables: General Support Programme Manager in implementing, marketing
and validity of the balances reported on in the general ledger accounts.
Balance Sheet Reconciliations