Statement
Bank reconciliation
Monitor other companies' bank reconciliation
General journal
purchase invoices & bank statements) Bank reconciliations Payments Debtors & creditors reconciliations
variety of clients
Debtors, creditors, bank reconciliation
Filing, data entry, and recording
-Sales & Purchase Ledger -Daily Banking & reconciliations -Expenses Our client is looking for
Bank & Cash bank reconciliations and cash flow projections
Debtors & creditors
EMP201 returns
Cashbook entries and bank reconciliations
Prepare monthly journals
General
/>Full Debtors and Creditors control
Bank reconciliations
Liaise with suppliers and customers
variety of clients (debtors, creditors, bank reconciliation)
Assisting with filing, data entry,
variety of clients (debtors, creditors, bank reconciliation) Assisting with filing, data entry, and recording
variety of clients (debtors, creditors, bank reconciliation) Assisting with filing, data entry, and recording