team. This is an excellent opportunity for an entry-level to intermediate professional with a blend of
Reporting: Perform monthly accounting for month end entries including Impairments, Accrued expenses and income securitisation vehicles Prepare and posts all journal entries, loading all payments onto the legal entity's bank multiple tasks and meet stringent deadlines High level of involvement with the operations team Engage with
Bookkeeping responsibilities to trial balance Process entries to trail balance. Process customer invoices Process
Functions:
either physically or electronically Ensure Point of Entries are created, up to date and assessed Consultant:
either physically or electronically Ensure Point of Entries are created, up to date and assessed Consultant:
Main Job Functions: Process cashbooks, journal entries and reconciliation. Process payroll, capture and
in using computer software and systems for data entry, scheduling, and communication.
payroll expenses and input into the appropriate entry line Preparing quarterly budget under the purview
in using computer software and systems for data entry, scheduling, and communication. Problem-solving