Perform day-to-day accounting tasks, including journal entries, reconciliations, and financial reporting
month-end close processes, including preparation of journal entries, account reconciliations, and financial
ensure correctness of Trial balance/General ledger (journals, corrections, provisions, accruals), before month
month-end close processes, including preparation of journal entries, account reconciliations, and financial
balancing (Botswana & Zimbabwe) Interbranch journal processing. Month end and year end processing.
balancing (Botswana & Zimbabwe) Interbranch journal processing. Month end and year end processing.
Liaison with auditors Intercompany transactions and journals Forex transactions Management of IT setup and
per current project. Raise revenue recognition journals per project in according to the accepted accounting