correctly Review bank reconciliations Monthly journals Submit monthly VAT returns and audit schedules Maintain accounting ledgers by verifying and posting journal entries and account transactions Preparation and correctly Review bank reconciliations Monthly journals Submit monthly VAT returns and audit schedules Maintain accounting ledgers by verifying and posting journal entries and account transactions Preparation and
performing bank reconciliations · Processing monthly journals and closing accounting modules in Syspro at month-end credit cards. · Preparing and posting monthly journals. · Preparing monthly management accounts and presenting
performing bank reconciliations · Processing monthly journals and closing accounting modules in Syspro at month-end credit cards. · Preparing and posting monthly journals. · Preparing monthly management accounts and presenting
controls, procedures and systems. Journals setup – monthly/recurring, journal adjustments. Reconciling accounts
correctly Reviewing bank reconciliations Monthly journals Submitting monthly VAT returns and audit schedules Maintaining accounting ledgers by verifying and posting journal entries and account transactions. Preparation and
correctly Reviewing bank reconciliations Monthly journals Submitting monthly VAT returns and audit schedules Maintaining accounting ledgers by verifying and posting journal entries and account transactions. Preparation and
cashbooks and bank reconciliations · Processing salary journals · Prepare monthly management accounts · Payment
bank reconciliations.
bank reconciliations.
debtors, creditors, cash book, and relevant monthly journal entries including Projects. Support Finance & reconciliations