financial accounts receiving funding services with the bank and ensure PODs are provided and appropriate limits results.
accounting principles related to accounts payable, stock, bank and cash and account receivables Working knowledge Process monthly cashbook transactions and perform bank reconciliations Process monthly journals and close accounting principles related to accounts payable, stock, bank and cash and account receivables Working knowledge Process monthly cashbook transactions and perform bank reconciliations Process monthly journals and close
accounts payable and receivable
point-of-sale month end reports, · Processing cashbooks and bank reconciliations · Processing salary journals · Prepare
Responsibilities:
(Invoices). Responsible for providing accurate banking details for payment purposes. Amending and maintaining
(Invoices).
(Invoices). Responsible for providing accurate banking details for payment purposes. Amending and maintaining