up to management accounts
hours
and maintaining of balance sheet reconciliations
creditors' reconciliations. Conduct debtors' reconciliations. Manage creditors, including processing invoices
Register
Prepare Balance Sheet reconciliations
Prepare monthly management accounts
Banking and cash
team.
information. Prepare credit card sales reconciliations. Manage business credit cards for station managers
information. Prepare credit card sales reconciliations. Manage business credit cards for station managers
which is required Prepare credit card sales reconciliations Manage business credit cards for station managers
accounts daily.
Perform supplier reconciliations monthly.
Manage disputes with suppliers and ensure various general ledger reconciliations.
Perform risk assessment & management of new and existing