Manage trial balances
Process monthly journals
Manage Fixed Asset Register
Prepare
following:
Cashbook
Debtors and creditors to trial balance
Accounts Payable
VAT Reconciliations
Manage trial balances
Process monthly journals
Manage Fixed Asset Register
Prepare
document. Comply with strict SHEQ standards and Drug & Alcohol policy. Able to follow instructions
document. Comply with strict SHEQ standards and Drug & Alcohol policy. Able to follow instructions
Costing
witnesses and evidence for trial.
Participating in depositions and other pre-trial proceedings.
Processing and posting of accounting records up to trial balance stage Monthly salaries and ledger reconciliations
Processing and posting of accounting records up to trial balance stage Monthly salaries and ledger reconciliations
Review and ensure accuracy of Trial Balance processing and financial reports
Manage daily