of credit card expenditure, journals Checking, preparing stannic journal Telephone reports Copying cheque
preparation of journals for depreciation and disposals. Preparation of standard monthly journals i.e. depreciation depreciation, partner drawing journals etc Monthly account reconciliations and analysis Monthly SASSETA and
(Botswana & Zimbabwe)
balancing (Botswana & Zimbabwe) Interbranch journal processing Month-end and year-end processing Account
ompany balancing (Africa)
experience that will be a bonus. General Ledger Recons Journal Preperation Expense reports Maintain selling expense
experience that will be a bonus. General Ledger Recons Journal Preperation Expense reports Maintain selling expense
payments, draft notices, VAT recons, annual packs, journal entries.
Investment evaluation.
Please
compiling annual financial statements, managing journals and reconciliations, calculating VAT and ensuring
balancing (Botswana & Zimbabwe) Interbranch journal processing Month end and year end processing Account