utilities suppliers. Month end processing including bank reconciliations. Management and payment of VAT amounts
accurate transaction recording and reconciliation of bank statements. Oversee and ensure the maintenance of
accurate transaction recording and reconciliation of bank statements. Oversee and ensure the maintenance of
utilities suppliers. Month end processing including bank reconciliations. Management and payment of VAT amounts
Management Accountant verify that all partners' bank statements reconcile with their expenditure and
transactions accurately in accounting software. Reconciling bank statements and accounts payable/receivable. Supporting