payments, validate documentation, and oversee month-end bank reconciliations Scrutinize intercompany transactions
payments, validate documentation, and oversee month-end bank reconciliations Scrutinize intercompany transactions
payments, validate documentation, and oversee month-end bank reconciliations Scrutinize intercompany transactions
management accounts
financial analysis.
do, you'll be: Preparing financial data (sales, bank statements, expenses) and providing bookkeeping
receipts, sales invoices, purchase invoices • Perform bank reconciliations • Processing and reconciling of
using accounting software or spreadsheets. Reconcile bank statements and other financial accounts to ensure
statements, reports, and budgets.
reconciliations Prepare monthly management accounts Banking and cash management Review and distribute financial