Responsibilities:- -Assist with annual budget -Monthly general ledger reconciliations -Approve purchase monthly journal processing -Reconciling fixed assets -Assist with preparing monthly management pack -Check and -Ensure adherence to policies and procedures -Assisting with month end stock count -Cashbook reconciliations pressure -Willingness to learn, adapt and improve -Driver’s licence Minimum requirements:- -B Comm Accounting
transactions, VAT and Tax, reconciliations and assisting with banking functions.
You will also
transactions, VAT and Tax, reconciliations and assisting with banking functions.
The role will
transactions, VAT and Tax, reconciliations and assisting with banking functions. The role will entail full
transactions, VAT and Tax, reconciliations and assisting with banking functions. The role will entail full