Recon. Financial processing Process month end journals, reconciliations of ledger accounts, creditor
Maintaining Fixed Assets, Preparation processing of journal entries and reconciliations , Payroll management
statutory audits, general ledger as well as post journals Prepare bank reconciliations for all accounts
Maintaining Fixed Assets, Preparation processing of journal entries and reconciliations , Payroll management
statutory audits, general ledger as well as post journals Prepare bank reconciliations for all accounts
when necessary. Checking and posting of recurring Journal entries. Capturing of orders and creditors invoices
updating creditor banking details
Facility Managers
•Processing of month-end journals and statistics
•Prepare and balance inter-company
addressing audit queries, evaluating audit journals, passing these journals, finalization of the audits);
and executive committee Ability to do month end journals, reconciliations of ledger accounts, creditor software system Financial Accounts: Process month end journals, reconciliations of ledger accounts, creditor