Accountant. Duties include but not limited to: Bank reconciliation VAT submission Cash flow management Fixed
statements, various tax duties and auditing Bank reconciliations Invoice and statement checking Assists the
information required for processing Completing the bank reconciliation Petty cash management Participate in day-to-day
processing of cashbook transactions. Ensuring bank reconciliations are done weekly and monthly. Following up files Assist with completion of monthly bank reconciliations Assist in the maintenance of the fixed asset
processing of cashbook transactions. Ensuring bank reconciliations are done weekly and monthly. Following up files Assist with completion of monthly bank reconciliations Assist in the maintenance of the fixed asset
outstanding invoices. Bank Reconciliation: Perform regular bank reconciliations to ensure accurate financial
outstanding invoices. Bank Reconciliation: Perform regular bank reconciliations to ensure accurate financial
accounts Weekly bank reconciliation on multiple bank accounts Final monthly bank reconciliations by the 5th
accounts. Weekly bank reconciliation on multiple bank accounts. Final monthly bank reconciliations by the 5th
accounts. Weekly bank reconciliation on multiple bank accounts. Final monthly bank reconciliations by the 5th