dealing with African entities.
allocation of funds. Daily intercompany matching and file balancing, with accounts cleared by month-end. Adhering
allocation of funds. Daily intercompany matching and file balancing, with accounts cleared by month-end. Adhering
allocation of funds. Daily intercompany matching and file balancing, with accounts cleared by month-end. Adhering
allocation of funds. Daily intercompany matching and file balancing, with accounts cleared by month-end. Adhering
and coordinate journal and intercompany team functions. As an Accountant, you will be responsible for
and coordinate journal and intercompany team functions. As an Accountant, you will be responsible for
Statements Intercompany and balance sheet reconciliations Assist with checking GL Accounts Cashbook reconciliations
Statements Intercompany and balance sheet reconciliations Assist with checking GL Accounts Cashbook reconciliations