and Sub Ledger Maintenance: Ensure monthly reconciliation of GL accounts, Accounts Payable, and Accounts
Experience: Skilled in consolidation, Journals, reconciliation, and audit support Advanced Excel IFRS Knowledge
Experience: Skilled in consolidation, Journals, reconciliation, and audit support Advanced Excel IFRS Knowledge
dynamic and innovative environment. Monthly reconciliation of account receivable statements to Evolution
dynamic and innovative environment. Monthly reconciliation of account receivable statements to Evolution
supplier and business queries timeously Statement reconciliation in order to validate account balances Payment
ensuring accurate and timely payments and reconciliations, contributing to seamless business operations
ensuring accurate and timely payments and reconciliations, contributing to seamless business operations
Fixed Asset registers Prepare Balance Sheet reconciliations and monthly management accounts Review financial
Fixed Asset registers Prepare Balance Sheet reconciliations and monthly management accounts Review financial