and review complex transactions and prepare journal entries.
reconcile transactions,
Processing of Journal entries,
Maintain accurate financial records and
management, including goods in transit, inventory journals, Stock count and stock adjustments,
Vat returns
type
records of financial transactions, including journal entries, ledgers, and reconciliations. Ensure compliance
tasks. Balance Sheet Reconciliations. Review journals. Corporate Budgets and Forecasts. Assist junior analysis. Post group consolidation and elimination entries. General accounting tasks WHAT YOU'LL NEED Qualified
and ad hoc journals as required; Preparation of full set of accounts up to trial balance level (income statement income tax and VAT; Processing of all payroll journals as provided by HR department; Preparation of reconciliation
debtors (Tenants) Data capturing & processing of journals & leases Letter writting Filling & Copies
and supplier queries.
preparing annual financial statements, compiling journals and reconciliations as well as calculating TAX
reporting, including accounting for month-end entries, balance sheet reconciliations, and the preparation