(income statement and balance sheet). Processing of Cash Books and allocating income and expenses. Processing and stock takes. Posting Monthly Journals. Petty Cash and Credit Card management and reconciliation. Assist
(income statement and balance sheet). Processing of Cash Books and allocating income and expenses. Processing and stock takes. Posting Monthly Journals. Petty Cash and Credit Card management and reconciliation. Assist
including bank reconciliation, VAT submissions, cash flow management, fixed asset management, stock control accounting for all transactions Monitor and manage cash flow, allocating funds to various departments as
including balance sheets, income statements, and cash flow statements. Conduct periodic audits of financial
reconciliations Handling VAT submissions Managing cash flow effectively Administering fixed assets Supervising
reconciliations Handling VAT submissions Managing cash flow effectively Administering fixed assets Supervising
and services to current and potential clients. Carry out market research and surveys. Skills and competencies:
including balance sheets, income statements, and cash flow statements. Overseeing the month-end and year-end