day-to-day accounting tasks, including journal entries, reconciliations, and financial reporting. Assist
day-to-day accounting tasks, including journal entries, reconciliations, and financial reporting.
day-to-day accounting tasks, including journal entries, reconciliations, and financial reporting.
and payments processing
Handling accounting entries for GL / TB
Assisting in month-end and year-end
properly recorded.
and payments processing
Handling accounting entries for GL / TB
Assisting in month-end and year-end
Monthly bank reconciliations. Monthly journal entries. VAT reconciliations (assistance with income tax
accounting tasks such as reconciliations and journal entries Assist with budgeting and financial forecasting
reconciliation from logistics Credit notes approval Journal entries Trial Book Balance Finacial Reporting Forex sales
staff claims and payments Processing accounting entries to GL / TB Supporting month-end and year-end processes