receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of practice and a working paper file according to the standards per the training file for sole proprietors, close
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of practice and a working paper file according to the standards per the training file for sole proprietors, close
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of practice and a working paper file according to the standards per the training file for sole proprietors, close
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of practice and a working paper file according to the standards per the training file for sole proprietors, close
point-of-sale month end reports, · Processing cashbooks and bank reconciliations · Processing salary journals · Prepare
Processing monthly cashbook transactions and performing bank reconciliations · Processing monthly journals and
Processing monthly cashbook transactions and performing bank reconciliations · Processing monthly journals and
ensure allocations are done correctly Reviewing bank reconciliations Monthly journals Submitting monthly
ensure allocations are done correctly Reviewing bank reconciliations Monthly journals Submitting monthly
Follow established policies, procedures, systems, standards and rules in order to meet key contact centre