credit cards, Mr D, Uber and online). Posting journals. Reconciling control accounts. Processing and on efiling. Receiving, printing and capturing all food cost invoices, ensuring it balances to the main
credit cards, Mr D, Uber and online). Posting journals. Reconciling control accounts. Processing and on efiling. Receiving, printing and capturing all food cost invoices, ensuring it balances to the main
Reconciliations
for Malelane Bank clearing. Compile journals. Reversing of journals Captured all FA sundry sales. Handle accounts and line items at month end. Journals Capturing journals and accrual entries including routine and descriptions are used. Maintain a monthly journal file and ensure that all entries are signed off
includes: Bank Reconciliation's Journals Processing/capturing of Cash Books/Journals Completing and updating
subsidiaries
includes: Bank Reconciliation's Journals Processing/capturing of Cash Books/Journals Completing and updating
This is a 12 month contract. Prepare and post journal entries to ensure accurate recording of financial years of experience in accounting, with a focus on journals, fixed assets, IFRS, and tax calculations Experience
and monthly reconciliations.
This is a 12 month contract. Prepare and post journal entries to ensure accurate recording of financial years of experience in accounting, with a focus on journals, fixed assets, IFRS, and tax calculations Experience