accounting for provisions Reconcile intercompany loans Process and reconcile bank statements and cash sheets
package. Various reconciliations (Bank, Salaries, Loan accounts and Creditors) within allocated due dates
package. Various reconciliations (Bank, Salaries, Loan accounts and Creditors) within allocated due dates
efficiencies •Ability to understand and discuss the loan agreement with customers •Accepts personal responsibility
reconciliations, intercompany confirmations, and loan confirmations. Review VAT entries before submission