bank reconciliations, closing of month-end and journal entries. They should have a successful cash management
and/or inter-company recoveries. Preparation of journals including all relevant supporting schedules and and, especially, the reasons for the journals. Ensuring that all transactions are correctly allocated
and/or inter-company recoveries. Preparation of journals including all relevant supporting schedules and and, especially, the reasons for the journals. Ensuring that all transactions are correctly allocated
& wage reports & reconciliations & journals to GL
Related:
Higher Education and Training (DHET) approved journals; Apply and secure research grants for national (ideally more, preferably in last 3 years and in ISI journals -some first author) Conference papers delivered;
Higher Education and Training (DHET) approved journals; Apply and secure research grants for national (ideally more, preferably in last 3 years and in ISI journals -some first author) Conference papers delivered;
balance sheet reconciliations & process monthly journals
staff Daily processing of all customer receipts, Journals and settlement discounts and allocating as per Monthly reporting Reconciliations Processing of journals Opening of new accounts experience Customer invoicing
equalisation journal reviewing for improvement to incorporate monthly provisions and IFRS (16 journals)