Journal Entries and Balance Sheet Reconciliations: Assist in preparing monthly journal entries, accruals other adjusting entries to ensure accurate recording of financial transactions and compliance with accounting reconciliation process. Upload and allocate bank entries to Cashbooks. Monthly reconciling of Cashbooks to reflect changes in asset status and inventory levels. Qualifications Diploma in Accounting or Bachelor
and surgical instruments, ensuring adequate stock levels at all times. Conduct routine checks for expired
and surgical instruments, ensuring adequate stock levels at all times. Conduct routine checks for expired