& Tear register Prepare Monthly Management Journals (Provisions/Accruals/Interbranch allocations,
to audit queries Generate monthly depreciation journal Record daily financial transactions Supervise a
completion by the 15th of each month. Oversee journals, balance sheet reconciliations, asset register
and review of month-end activities, including journals and reconciliations.
processes, and personel are on par. Process stock journals & stock transfers, including stock status
processes, and personel are on par. Process stock journals & stock transfers, including stock status
independent research and publish in peer reviewed journals
Perform administrative duties and contribute
independent research and publish in peer reviewed journals.
Perform administrative duties and contribute
Bookkeeping up to trial balance. Processing journal entries and monthly bank reconciliations.
Staff
and review of month-end activities, including journals and reconciliations. Driving strong governance