(income statement and balance sheet). Processing of Cash Books and allocating income and expenses. Processing and stock takes. Posting Monthly Journals. Petty Cash and Credit Card management and reconciliation. Assist
(income statement and balance sheet). Processing of Cash Books and allocating income and expenses. Processing and stock takes. Posting Monthly Journals. Petty Cash and Credit Card management and reconciliation. Assist
including balance sheets, income statements, and cash flow statements. - Ensure compliance with accounting and resource allocation. 4. Cash Flow Management: - Monitor and manage cash flow to ensure the organization's organization's liquidity needs are met. - Implement effective cash management strategies, including optimizing working
including balance sheets, income statements, and cash flow statements Ensure compliance with accounting decision-making and resource allocation Cash Flow Management: Monitor and manage cash flow to ensure the organization's organization's liquidity needs are met Implement effective cash management strategies, including optimizing working
including balance sheets, income statements, and cash flow statements. - Ensure compliance with accounting decision-making and resource allocation. Cash Flow Management: - Monitor and manage cash flow to ensure the organization's organization's liquidity needs are met. - Implement effective cash management strategies, including optimizing working
including balance sheets, income statements, and cash flow statements. - Ensure compliance with accounting decision-making and resource allocation. Cash Flow Management: - Monitor and manage cash flow to ensure the organization's organization's liquidity needs are met. - Implement effective cash management strategies, including optimizing working
current team where needed Efficient in MS Excel Petty cash Filing and Admin related duties
not limited to: Bank reconciliation VAT submission Cash flow management Fixed asset management Budgeting
current team where needed Efficient in MS Excel Petty cash Filing and Admin related duties
include: Tax Year end procedures HR & Salaries Cash flow VAT/WCA/PAYE Bookkeeping