income statement reconciliations Maintaining of a fixed asset register, and shareholder loan schedules Perform
income statement reconciliations Maintaining of a fixed asset register, and shareholder loan schedules Perform
nue recognition, customer invoicing
Cash and cash control accounts • Keeping of a fixed asset register • General journals – e.g. depreciation
Cash and cash control accounts. Keeping of a fixed asset register. General journals e.g., depreciation
updates
transactions Revenue recognition, customer invoicing Fixed Assets and Intangible Assets register maintenance (additions
transactions Revenue recognition, customer invoicing Fixed Assets and Intangible Assets register maintenance (additions
Prepare ad-hoc analyses and reports as required Fixed asset management and control of working capital Conducting
balance items.