experience and hit the ground running. Books to ballance sheet. Accounting Degree or Diploma Negotiable based on
Responsibilities: • Income statements • Balance sheets • VAT returns • Reconciliations of accounts • Raising
receivable records. Journal Entries and Balance Sheet Reconciliations: Assist in preparing monthly journal accounting principles. Ensure that monthly balance sheet reconciliations are completed on time, investigating reconciling of Cashbooks. Daily clearing of balance sheet clearing accounts. Financial Reporting and Analysis:
offices Processing of orders and all relevant job sheets Assisting with clients in stores Delivery and order
offices Processing of orders and all relevant job sheets Assisting with clients in stores Delivery and order
consolidated variance report • Ensure all balance sheet, Payroll and Income Statement recons are accurate time to all managers • Responsible for all balance sheet and income statement recons • Assist in the preparation
Application Data Sheets. Complete DWC (Day Work Reports). Complete Calibration Data Sheets. Complete Calibration
preparing stock for month end count, generate stock sheets, capture stock quantity from stock count and generate
preparing stock for month end count, generate stock sheets, capture stock quantity from stock count and generate
a WhatsApp Bot. Create dashboards using Google Sheets. Act as the bridge between the development team