statements (general journals, provisions journals, asset register updates and depreciation journals, VAT reconciliations
budgets
statements (general journals, provisions journals, asset register updates and depreciation journals, VAT reconciliations
and journals on Pastel. Handle account processing and reconciliations. Conduct month-end journals and
for Monthly returns Banking Preparing monthly journals Reconciliation and payment of third party payments
budgets Create journals/sheets for freight/delivery provisions. Creating reversing journals S/sheet / working transactions. Requesting ISA statements Process relevant journals Recon ISA statements to Pastel Keep FAR up to additional assets. Process monthly the depreciation journal to Pastel and reconcile to FAR. File assets invoices account with working paper. Process the payroll journal to Pastel. Draft new job descriptions/scopes for
with year end preparation
ageing reports
understanding of impact thereof Skilled in consolidation, Journals, reconciliation and audit support Advanced Excel
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