reflected in the trial balance
Candidate will be responsible for: Creditors Debtors Bank/Cashbook Reconciliations Standard journals Month-end
accounts receivables' data Prepare bills, invoices and bank deposits Reconcile the accounts receivable ledger
queries on a day-to-day basis from internal teams, Banks, Lenders, auditors, and regulators. Maintenance
queries on a day-to-day basis from internal teams, Banks, Lenders, auditors, and regulators. Maintenance
Benefits Committee. •Monitor that outstanding banking details for payment of approved death benefits