transactions and general accounting duties. Handle bank statements, supplier invoices, salary journals, verification of creditors, payments, and bank details. Perform weekly bank reconciliations, expense tracking
accounts payable and receivable • Prepare reports • Bank reconciliations • Accounting to Trial balance. Apply
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information required for processing Completing the bank reconciliation Petty cash management Participate
investment structuring
equipment.
reporting.
finance structuring
Control, Debtors Control, Salary and Wage Control, and Bank Reconciliation. • Initiate, compile, and execute
financial statements, reports, and budgets. Perform bank reconciliations and ensure accuracy of financial