Process cashbook transactions and any other required journal entries per client onto the general ledger. Prepare
Process cashbook transactions and any other required journal entries per client onto the general ledger. Prepare
Responsibilities: Preparation and analysis of journals Reconciling and maintaining balance sheet accounts
Responsibilities: Preparation and analysis of journals Reconciling and maintaining balance sheet accounts
all aspects of financial accounting, including journal entries, reconciliations, and financial statement
all aspects of financial accounting, including journal entries, reconciliations, and financial statement
to audit queries Generate monthly depreciation journal Record daily financial transactions Supervise a
with internal and external audit Monthly payroll journals Education: BCom degree in Accounting / Finance
with internal and external audit Monthly payroll journals Education: BCom degree in Accounting / Finance
all aspects of financial accounting, including journal entries, reconciliations, and financial statement