and coded. Maintain and reconcile the general ledger accounts, ensuring the accuracy and completeness
and coded. Maintain and reconcile the general ledger accounts, ensuring the accuracy and completeness
payments. Reconcile bank statements and key General Ledger accounts. Process payroll and ensure tax/employment
payments. Reconcile bank statements and key General Ledger accounts. Process payroll and ensure tax/employment
controls Monthly reconciliation of all general ledger accounts Review of inventory costing and loading balances to the general ledger Preparation and processing of journals Revaluation of accounts payable, receivable
monthly general ledger reconciliations
monthly general ledger reconciliations Processing month end journals and balancing loan accounts Responsible