month-end close processes, including preparation of journal entries, account reconciliations, and financial
necessary accounting adjustments via appropriate journal entries. Review financial statements and transactions standards. Input accounting entries using relevant journals. Engage in accounting projects as a proactive
necessary accounting adjustments via appropriate journal entries. Review financial statements and transactions standards. Input accounting entries using relevant journals. Engage in accounting projects as a proactive
positions.
necessary accounting adjustments via appropriate journal entries.
recurring journals for the group.
Processing of duly authorised ad-hoc journals as required
necessary accounting adjustments via appropriate journal entries.
post, and reconcile transactions, Processing of Journal entries, Maintain accurate financial records and management, including goods in transit, inventory journals, Stock count and stock adjustments, Vat returns
emerging research publication record in peer-reviewed journals; Evidence of successful supervision of postgraduate as evidenced by publications in peer-reviewed journals; Evidence of providing and facilitating teaching
post, and reconcile transactions, Processing of Journal entries, Maintain accurate financial records and management, including goods in transit, inventory journals, Stock count and stock adjustments, Vat returns