to ensure payments are up to date. • Conduct reconciliation of bank statements, credit card accounts, and
review supplier invoices, perform balance sheet reconciliations, maintain the fixed asset register, and process
are required by the payroll manager Monthly reconciliations of journals, 3rd party payments and tax filling
are required by the payroll manager Monthly reconciliations of journals, 3rd party payments and tax filling
processes.
within one day of receipt Attend to queries and reconciliations in respect of rental and other charges (utilities