reconciliations of financial accounts Assisting in the preparation of financial statements and management reports
reconciliations of financial accounts Assisting in the preparation of financial statements and management reports
financial data and assist the finance team in diverse tasks as required Upkeep precise financial records, ensuring
financial data and assist the finance team in diverse tasks as required Upkeep precise financial records, ensuring
statements. Assist with manual processing of transactions and journal entries. Minimize financial risks and
statements. Assist with manual processing of transactions and journal entries. Minimize financial risks and
journals and data capturing Assisting with the preparations of the Financial statements Preparing reconciliations
journals and data capturing Assisting with the preparations of the Financial statements Preparing reconciliations
Contribute the annual audit process Assist with ad hoc financial projects and initiatives as required
Contribute the annual audit process Assist with ad hoc financial projects and initiatives as required