following: Delegation of Authority Bank/Account Reconciliation Hedging Transactions Current Economic Standings
for various clients. Bank reconciliations. Other balance sheet reconciliations. Process Creditors and Debtors
good references. Must be skilled in cash up reconciliation, stock management, opening & closing procedures
Responsibilities: Monthly trial balance and sub-ledgers reconciliation. Preparation of monthly Executive Pack Schedules
Responsibilities: Monthly trial balance and sub-ledgers reconciliation. Preparation of monthly Executive Pack Schedules
good references. Must be skilled in cash up reconciliation, stock management, opening & closing procedures
financial statements, managing journals and reconciliations, calculating VAT and ensuring compliance with
financial statements, managing journals and reconciliations, calculating VAT and ensuring compliance with
effective control of 30 cashbooks and monthly reconciliation of bank statement for 15 companies within group
effective control of 30 cashbooks and monthly reconciliation of bank statement for 15 companies within group