management Investment trades Stock and cash reconciliations Financial reporting Assist with audit preparations
management Investment trades Stock and cash reconciliations Financial reporting Assist with audit preparations
Prepare tax schedules Monthly payroll ledgers Reconciliations: salary controls and VAT Banking feeds Invoices
preparing funds, and managing cash flow. Monthly reconciliations (Debtors & Creditors) Review monthly and
Prepare tax schedules Monthly payroll ledgers Reconciliations: salary controls and VAT Banking feeds Invoices
preparing funds, and managing cash flow. Monthly reconciliations (Debtors & Creditors) Review monthly and
Fixed Asset Register Prepare Balance Sheet reconciliations Prepare monthly management accounts Banking
limited to, the following: Overseeing financial reconciliations and ensure accurate expense booking Coordinate
limited to, the following: Overseeing financial reconciliations and ensure accurate expense booking Coordinate
team to achieve monthly deliverables Review reconciliations of sundry creditors to ensure timely and accurate