outstanding or not recorded accordingly. Identify any misallocations in the ledger and ensure corrections and report on accounting discrepancies. Undertake any other tasks as assigned by management REQUIREMENTS
trial balance. Assist with the yearend stock counts. Any other tasks as required by the financial manager
trial balance. Assist with the yearend stock counts. Any other tasks as required by the financial manager
trial balance. Assist with the yearend stock counts. Any other tasks as required by the financial manager
trial balance. Assist with the yearend stock counts. Any other tasks as required by the financial manager
trial balance. Assist with the yearend stock counts. Any other tasks as required by the financial manager
Full awareness and understanding of information available on NAV to support the Financial Planning Partner(s)
Full awareness and understanding of information available on NAV to support the Financial Planning Partner(s)