variances to the designated Portfolio Manager. Handle monthly municipal reconciliations and insurance records. Attend meetings as required. Efficiently handle daily correspondence. Regularly update building
variances to the designated Portfolio Manager. Handle monthly municipal reconciliations and insurance records. Attend meetings as required. Efficiently handle daily correspondence. Regularly update building
profit and loss statements, cash flow statements handling of VAT calculations and submissions, will capture
profit and loss statements, cash flow statements handling of VAT calculations and submissions, will capture
manage monthly bank and ledger reconciliations, and handle the Fixed Asset Register. Responsibilities include
manage monthly bank and ledger reconciliations, and handle the Fixed Asset Register. Responsibilities include
Group Accountant ready for a new challenge? Can you handle reconciliations, consolidations and reporting meticulously
reporting financials to various stakeholders, handle VAT calculations and submissions. Job Experience
some of the duties you will be responsible for is handling consolidations where more than one company is
improving internal and production controls, and handling VAT calculations and submissions. Job Experience