processing of financial transactions to ensure that general ledger accounts are maintained in an effective experienced in bookkeeping up to trail balance
calculations and compliance. Run the payroll interface - General Ledger, Leave provision, S Cubes and Farmtrace wages and bank accounts. Responsible to resolve General Ledger queries from Financial Director. Update
calculations and compliance. Run the payroll interface - General Ledger, Leave provision, S Cubes and Farmtrace wages and bank accounts. Responsible to resolve General Ledger queries from Financial Director. Update
purchase orders invoice processing for commission General and monthly journals for export pools Vessel reconciliations