statutory audits, general ledger as well as post journals
Prepare bank reconciliations for all accounts
Process and reconcile Prepare management account journal entries Prepare various monthly Income Statement
reconciliations, analysis and investigation and raising journals To create electronic purchase orders for the Digital
monthly payroll for all stores.
monthly payroll for all stores.
entries
Manage inventory and assess posted journals
Oversee payroll processing and related filings
and process both regular and adjusting monthly journals, then distribute monthly general ledger reports
& Invoicing), Debtors, creditors, recons, journals, suppliers, quotes, reporting, and other admin
resolution. Support the general ledger process and post journals. Prepare VAT reports and organize files and support service for tax compliance). Calculate and post journal entries for FX movements monthly. Financial Operations: Companies Act and Tax. Skilled in consolidation, Journals, reconciliation and audit support. Advanced excel
data to compile and keep financial records, using journals and ledgers or computers. · Code documents according