systems and controls Monthly reconciliation of all general ledger accounts Review of inventory costing and Reconciliation of sub-ledgers balances to the general ledger Preparation and processing of journals Revaluation
trial balance, commitments and transfers; Perform General Ledger reconciliations (including bank, suspense
Checking that credit card statement reconciles to General ledger. Assisting Financial manager as and when
administrative tasks, including stock management in Pastel, general administrative duties, telesales support, and filing