are accurately and promptly completed. Prepares journal entries and balances work in more- complicated transactions. Balances and posts daily write-ups and journals Computes figures and prepares recurring accounts Performs miscellaneous filling /sorting of checks, journals, daily write-up etc Completes required records
oversight of balance sheet reconciliations and journals. You will also review all financial reporting business related activities Review and approve the journals and reconciliations prepared by the financial
Monthly prepayments Prepare and capture monthly journals Balance sheet recons Run trail balance and ensure
Monthly prepayments Prepare and capture monthly journals Balance sheet recons Run trail balance and ensure
oversight of balance sheet reconciliations and journals. Qualifications: CA(SA) Strong communication skills
Month end reporting on- portfolio per deadlines Journals & reallocations Assist with ad hoc finance