statements and reports. Manage general ledger entries and ensure accuracy in financial records. Oversee
statements and reports. Manage general ledger entries and ensure accuracy in financial records. Oversee
reconcile transactions, Processing of Journal entries, Maintain accurate financial records and produce
reconcile transactions, Processing of Journal entries, Maintain accurate financial records and produce
monthly depreciation.
to calculate and give accurate details of every entry in these reports, by way of fully reconciled general
Assist in month- end closing, prepare journal entries as necessary, analyse inventory, valuation inventory
processing accounting transactions. • Review journal entries to ensure accuracy by team members. • Assist in
processing accounting transactions. • Review journal entries to ensure accuracy by team members. • Assist in