accounts and preparation of adjusting journal entries.
project accounting, ensure accurate general ledger entries, and provide financial insights to support strategic
project accounting, ensure accurate general ledger entries, and provide financial insights to support strategic
payable, accounts receivable and general ledger entries Transaction Processing: Process sales, expenses
financial reports, budgets, and forecasts. Data Entry: Accurately enter financial data into accounting
generating financial reports, preparing adjusting entries, and participating in the preparation of financial
on a monthly basis. Process group elimination entries. Manage inter-company matching process, and ensure
Prepare assets, liabilities, account entries by compiling and analysing account information
will maintain the general ledger, prepare journal entries, and analyse accounts, ensuring all reinsurance
Dealer account management Ensure that all Journal Entries accurately calculated and authorised prior to processing