reconciliations.
Audits and year-end
balance sheet account variances. Prepare and post Journal entries. Manage subsystem vs general ledger balancing
balance sheet account variances. Prepare and post journal entries. Prepare quarterly Board packs. Audits
account reconciliations. Review and authorise Journal entries. Audits and year-end processes: Prepare
account reconciliations. Review and authorise journal entries. Audit and year-end processes: Prepare
reconciliations.