/ Management Statements - Processing of Bank statements - Bank reconciliations - General Ledger reconciliations
Journals, GRN's etc. Assist with Creditors Petty Cash Banking Cash book processing Debtor information and queries manual and EFT cheque advices, reconcile payments on bank statements Inter department communications and follow
Management Account and Bookkeeping upto Trial Balance. Bank Recon Debtors and Creditors Inventory Ledger account
Desired experience: Recent Trial balance experience. Bank recons. Ledger accounts. VAT Debtors and Creditors
operations and ensure compliance with accounting standards. Develop and monitor budgets aligned with organizational needed. Liaise with external stakeholders such as banks, regulators, and tax authorities. Ensure that all
qualification AND 1 years' experience or a previous internship is preferred Benefits Remote work saving on
qualification AND 1 years' experience or a previous internship is preferred Benefits Remote work saving on
salary recons are accurately completed Bank recons Ensure that all bank recons are accurately completed Fixed
agencies. Handle accounts payable and recievables, bank reconciliation payroll and cash management and inventory
agencies. Handle accounts payable and recievables, bank reconciliation payroll and cash management and inventory