Bookkeeping up to trial balance. Processing journal entries and monthly bank reconciliations. Payroll of between
Ensure accurate monthly processing of key account entries Calculate staff loans, insurance, and prepaid expenses Ensure accurate monthly processing of key account entries Calculate staff loans, insurance, and prepaid expenses
are included (work permits for “hot work”, vessel entry and elevated work to be escalated to Manager for problems creatively whilst demonstrating a high level of integrity in line with Company values Staff Supervision environment of which 2 years' should be at Supervisory level Up to 3 years' experience in working Shifts - Advantageous
and their individual needs; maintaining a high level of service delivery and complex customer queries event coordination) Document production, data entry and financial administration Social media, copywriting hoc work including formatting of documents, data entry, and proofreading Ensure to communicate any client anticipated salary expectations within the identified levels communicated in this document What does it take business. The team delivers the highest standards and level of care to our clients. Through testing and measuring
and their individual needs; maintaining a high level of service delivery and complex customer queries event coordination) Document production, data entry and financial administration Social media, copywriting hoc work including formatting of documents, data entry, and proofreading Ensure to communicate any client anticipated salary expectations within the identified levels communicated in this document What does it take business. The team delivers the highest standards and level of care to our clients. Through testing and measuring
interest, salaries, stock, etc. • Process journal entries e.g. new instalment sale agreements, interest on
companies, ensuring accuracy and timeliness of entries using Xero. Management Information: Collaborating
Accounts on Monthly Basis Processing of Journal Entries Processing of Inter-Co Transactions Close monitoring
Accounts on Monthly Basis Processing of Journal Entries Processing of Inter-Co Transactions Close monitoring
maintaining client accounts and processing of journal entries • Solving day to day client and account queries