/>
:
statements (general journals, provisions journals, asset register updates and depreciation journals, VAT reconciliations
budgets
/>
statements (general journals, provisions journals, asset register updates and depreciation journals, VAT reconciliations
statements (general journals, provisions journals, asset register updates and depreciation journals, VAT reconciliations
for Monthly returns Banking Preparing monthly journals Reconciliation and payment of third party payments
Cashbook and credit card processing
Assist with journal entries and General Ledger maintenance
Sundry
Assets Maintaining the asset register Year End Journals for depreciation Reconcile any tax queries raised recommended by senior management Process Year End Journals Participate in the Annual Audit Process, attend