with administrative tasks such as filing, data entry, and correspondence. Maintain cleanliness and organization
accounts payable, accounts receivable, general ledger entries, and bank reconciliations. Prepare accurate and
year-end closing procedures, including journal entries and account reconciliations.
reconcile transactions, Processing of Journal entries, Maintain accurate financial records and produce
Dealer account management Ensure that all Journal Entries accurately calculated and authorised prior to processing
reconcile transactions, Processing of Journal entries, Maintain accurate financial records and produce
daily administrative tasks such as filing, data entry, scheduling and correspondence. Offer guidance and
Dealer account management Ensure that all Journal Entries accurately calculated and authorised prior to processing
close processes, including preparation of journal entries, account reconciliations, and financial statement
Managing the access control system and creating entry discs for all tenants
Criteria: