accessories from the storeroom daily · Ensure stock entries in the POS system are accurate · Assist the team
invoices into the accounting system. Handle cashbook entries and complete bank reconciliations. Check the accuracy processing supplier and debtor invoices, cashbook entries, and bank reconciliations. Ability to provide accurate
invoices into the accounting system. Handle cashbook entries and complete bank reconciliations. Check the accuracy processing supplier and debtor invoices, cashbook entries, and bank reconciliations. Ability to provide accurate
register.
Must be available immediately ● Prepare journal entries and reconcile general ledger and subsidiary accounts
register.
register.
Possesses high inventory control skills and data entry abilities. Be able to thrive in a collaborative
asset register. Pass of monthly recurring journal entries. Reconcile the cashbooks. Capturing cash book transactions
asset register. Pass monthly recurring journal entries. Reconcile the cashbooks. Capture cashbook transactions