all processing work, relevant reconciliations i.e. bank reconciliations, creditor's reconciliations, VAT Manager to document required activities. Pro-actively train and complete required CPD's. Be deadline driven
position will be to capturing financial data from bank statements up to Trial Balance level, including
Key administrative responsibilities include: Daily bank reconciliations; Reconciliation of accounts across
Handling trust accounts with precision Utilizing banking experience to streamline financial transactions
Debtor reconciliations Creditor reconciliations Bank reconciliations Assisting with cashflow Financial