cash book transactions
reconciliations. Experience with high-volume cashbook entries. A passion for accounting and a commitment to maintaining and timeliness. Make daily entries into the cashbook, handling 200-300 entries daily. Maintain accurate
reconciliations. Experience with high-volume cashbook entries. A passion for accounting and a commitment to maintaining and timeliness. Make daily entries into the cashbook, handling 200-300 entries daily. Maintain accurate
Results, Confidentiality, Time
Management, Data Entry
* Clean Criminal & Credit record - will
aspects of financial accounting, including journal entries, reconciliations, and financial statement preparation
information effectively to stakeholders at all levels.
Qualifications:
managing accounting software, making journal entries, and assisting with finance-related activities and practices
transactions in the accounting system, ensuring all entries are properly documented and coded.
journal entries for all receipts, payments, and other financial transactions Posting journal entries to ledger
journal entries for all receipts, payments, and other financial transactions Posting journal entries to ledger
processed invoices and credit notes, verifying entries and comparing system reports to supplier state Excel)