financial statements Reconciliations General Ledger, journals, fixed asset register Bank account transactions
Capture balance sheet and financial statements Journal entries Assist with payroll functions Management
compiling annual financial statements, managing journals and reconciliations, calculating VAT and ensuring
compiling annual financial statements, managing journals and reconciliations, calculating VAT and ensuring
Liaison with auditors Intercompany transactions and journals Forex transactions Management of IT setup and
accurate records of financial transactions, including journal entries, ledgers, and reconciliations. Ensure compliance
accounting work Preparation of accounts : Prepare journals and final GL balances including month end balance
accurate records of financial transactions, including journal entries, ledgers, and reconciliations. Ensure compliance
Prepare monthly provisions, salary, and general journals. Authorise daily bank payments. Reconcile inter-group
Prepare monthly provisions, salary, and general journals. Authorise daily bank payments. Reconcile inter-group