Specifications. Well versed with the various forms of general conditions of contract, experience with the GCC
feedback by using all available support tools
data capture, raising accruals and reviewing the general ledger.
Preparation of balance sheet reconciliations
e of equipment maintenance management
and monthly Bank Reconciliations Prepare monthly General Ledger reconciliations Identify and action unreconciled
and monthly Bank Reconciliations Prepare monthly General Ledger reconciliations Identify and action unreconciled
bank reconciliations. Compile and submit monthly General Ledger reconciliations. Identify and address unreconciled
documentation prior to payment, perform invoice and general ledger data entry; generate purchase orders as
documentation prior to payment, perform invoice and general ledger data entry; generate purchase orders as