accounts. Reconcile accounts and follow up on short banking Resolve claims, POD's and queries. Prepare payments
general ledger entries, accounts payable/receivable, bank reconciliations, and tax filings.
Ensure
Proven experience in project finance, investment banking, or a related field. Strong analytical and financial
statement reconciliations (including creditors, debtors, bank, stock reconciliations, VAT, payroll) Maintaining
Service Accounting : Capture and reconcile monthly bank statements and transactions. Perform bookkeeping
Financial Transactions: Capture and record monthly bank statements and transactions accurately. Maintain
Financial Transactions: Capture and record monthly bank statements and transactions accurately. Maintain
Service Accounting : Capture and reconcile monthly bank statements and transactions. Perform bookkeeping