receipt and payment journal, bank reconciliation General journals Balance Sheet Asset registers - additions on E-filing. Verification and reconciliation of General Ledger Accounts Liabilities - Additions to long accruals - Verification and reconciliation of General Ledger Accounts Shareholders Loan Accounts - Verification Verification and reconciliation of Ledger Accounts Other General Assisting with cost control Running monthly financial
EMP201, 12 Months Report, Leave Provision and General Ledger Reconciling the payroll and all third parties
EMP201, 12 Months Report, Leave Provision and General Ledger Reconciling the payroll and all third parties