documents
filing documents Maintaining company accounts by verifying, allocating, and posting transactions Assisting providing auditors with required information to verify accounts Any other ad hoc duties required Requirements:
day to day financial transactions, including verifying, classifying and recording accounts payable data payments are accounted for and properly posted. • Verify and investigate discrepancies, if any, by reconciling
day to day financial transactions, including verifying, classifying, computing, posting and recording payments are accounted for and properly posted. Verify discrepancies and resolve clients' billing issues
Clear Criminal & Credit record - will be verified
of monthly VAT Turnover reconciliation
Clear Criminal & Credit record - will be verified
Clear Criminal & Credit record - will be verified Monthly