Posting and processing journal entries to ensure that all transactions within all the client's depots creditors accounts Accountable to ensure that all journals are received/collected, finalized, posted and
execution of audit engagements Assisting with journals and financial statements Preparing working papers
execution of audit engagements Assisting with journals and financial statements Preparing working papers
execution of audit engagements Assisting with journals and financial statements Preparing working papers
execution of audit engagements Assisting with journals and financial statements Preparing working papers
balance accounts identifying errors and raising journals. Balance sheet and nominal accounts reconciliations