(Including but not limited to): Bank recons and monthly journals Managing, processing and reconciling cash transactions
book reconciliations Preparation and reviewing of journals VAT calculations Dealing with stock management
book reconciliations Preparation and reviewing of journals VAT calculations Dealing with stock management
and review of daily stats Prepare and review of journals Prepare weekly stats and revenue report. Qualifications
and review of daily stats Prepare and review of journals Prepare weekly stats and revenue report. Qualifications
(Including but not limited to): Bank recons and monthly journals Managing, processing and reconciling cash transactions
VAT calculations & submissions Tax planning Journals & Reconciliations Control fund & assets
(Including but not limited to): Bank recons and monthly journals Managing, processing and reconciling cash transactions
entities Process all bank statements, supplier and journal entries up to Trial balance Prepare monthly financial
key supplier account) reconciliations Month-end journals and reporting Compiling month-end management packs