processing up to trial balance
Monthly processing up to trial balance Processing of bank reconciliation Preparation and submission VAT201
industries, with particularly strong exposure in the Banking, Insurance, Investment and Retail sectors, among
and that all supporting documentation is accurate (bank details, tax details) Ensuring that all documentation
and that all supporting documentation is accurate (bank details, tax details) Ensuring that all documentation
solutions while representing the reputable affiliated bank brand. Your responsibilities will involve conducting
projects/programmes in the financial services and banking industry.
Tertiary qualification relevant
Monthly processing up to trial balance Processing of bank reconciliation Preparation and submission VAT201
through the analysis of financial information such as bank statements, financial statements and management
headlease invoices, including the verification of bank details and the onboarding of new head leases. Handle