reconciliations of control accounts Processing month end journals and invoices to be approved by the accountant
responsibilities such as reviewing, preparing post month-end journals, incorporating necessary accruals to ensure comprehensive
& submissions
Reconcile all balance sheet accounts Cashbook entries, journal postings and month end procedures Creditors and
type
* Assist in Month-end Closing, prepare Journal
entries, Analyse Inventory valuation
*
Analyse and review complex transactions and prepare journal entries. Analise general and administrative expense
Analyse and review complex transactions and prepare journal entries. Analise general and administrative expense
limited to: Cash book processing Bank reconciliation Journals Bond accounts Loan accounts Stock counts / Inventory
presence across multiple industries that include food, beverage, and homecare. Having dominated the market