Duties:
Journal Entries
Balance Sheet Recons
Client Service Monthly support
Payroll
Duties:
Journal Entries
Balance Sheet
Recons Client Service Monthly support
Payroll
Duties: Journal Entries
Balance Sheet Recons
Client Service Monthly support
Payroll
Duties:
Journal Entries
Sheet Balance Recons
Client Service Monthly support
Payroll
strong problem-solving skills. Process cashbooks, journal entries and reconciliation. Process payroll; capture additions, depreciation calculations and corresponding journals entries and tax treatment thereof. Prepare year-end
monthly creditors account, cash book allocations, journal entries, general accounts recon, monthly reports
function including income statements, budgets, journal entries, management reporting, balance sheet, supplier
ad-hoc projects as needed. Prepare and process journals and payments on Banking System and Direct Transact Upload monthly branch TBs on JDE Perform monthly journals on JDE Perform month end procedures Prepare weekly
ad-hoc projects as needed. Prepare and process journals and payments on Banking System and Direct Transact Upload monthly branch TBs on JDE Perform monthly journals on JDE Perform month end procedures Prepare weekly
end procedures, process journals and accruals.