Requirements:
years experience in Automotive OEM Communications, Internal Communications, Employee Engagement and Public Relations
Capture invoices in purchases journal per GRV batch, balance journal total back to each batch's daily Preparing spreadsheets that will facilitate month-end journal processing Bank Print bank statements for each on account in the Debtors journal. Post end of day sales to the Sales journal. Post creditor's invoices invoices to the Purchases journal. Post general journals at month-end to expense in-house accounts to relevant Post salary journal each month. Process inter-company invoices and post appropriate journals to allocate
Capture invoices in purchases journal per GRV batch, balance journal total back to each batch's daily Preparing spreadsheets that will facilitate month-end journal processing Bank Print bank statements for each on account in the Debtors journal. Post end of day sales to the Sales journal. Post creditor's invoices invoices to the Purchases journal. Post general journals at month-end to expense in-house accounts to relevant Post salary journal each month. Process inter-company invoices and post appropriate journals to allocate
reconciliations and accruals, the posting of month-end journals, budgeting, and forecasting. The accountant is manage multiple issues simultaneously Strong communication skills and ability to influence outcomes at and other management reports Process month-end journals Financial Forecasting and Budgetining Statutory
reconciliations and accruals, the posting of month-end journals, budgeting, and forecasting. The accountant is manage multiple issues simultaneously Strong communication skills and ability to influence outcomes at and other management reports Process month-end journals Financial Forecasting and Budgetining Statutory
reconciliations and accruals, the posting of month-end journals, budgeting, and forecasting. The accountant is multiple issues simultaneously
controls and systems
added fixed assets and disposals, creation of journal entries, billing, process vendor payments, record Lease Module
accounting controls and systems Journals setup – monthly/recurring Journal adjustments Reconciling accounts