pertaining to fixed assets. Support the monthly reconciliation of balance sheet accounts and conducting analysis
deadlines are met and review subsidiary monthly reconciliations where needed and advise on improvements needed
forecasts, and variance analysis. Perform account reconciliations and assist with month-end and year-end closing
financial statements, managing journals and reconciliations, calculating VAT and ensuring compliance with
financial statements, managing journals and reconciliations, calculating VAT and ensuring compliance with
financial statements, managing journals and reconciliations, calculating VAT and ensuring compliance with
financial statements, managing journals and reconciliations, calculating VAT and ensuring compliance with
Drafting of Standard Operating Procedures for reconciliation Recording and maintaining accurate financial
and year-end closing processes, including reconciliations and journal entries. Participate in internal
and year-end closing processes, including reconciliations and journal entries. Participate in internal