responsibilities are to manage and coordinate journal and intercompany team functions. As an Accountant Review processed business journals. Review significant intercompany journals for accuracy and approval
for a Journals Production Editor / Coordinator to join their scholarly publishing team. The Journals Production style is adhered to in all published work. The Journals Production Coordinator is also responsible for figures) meet the style and quality requirements. The Journals Production Coordinator manages the quality of page usage and other journal metrics. Responsibilities: Manage a portfolio of journal titles, ensuring that
activities such as volleyball, archery, crossbow, soccer, Bingo, and quizzes, you are also accountable for entertainment games such as volleyball, archery, crossbow, soccer, Bingo, and quizzes, ensuring they are safe and
additions and disposals • Processing of depreciation journals • Reconciliation of fixed asset register with general ledger • Raising of bad debt provision journals according to company guidelines • Preparing a Processing of interest journals on loan accounts • Processing of other journals / ad hoc transaction as Salary / Payroll Accounts and Journals: • Processing of all payroll journals as provided by payroll department department • Bonus provision journals Accounts Payable: • Reconciliations of accounts payable ageing with
additions and disposals • Processing of depreciation journals • Reconciliation of fixed asset register with general ledger • Raising of bad debt provision journals according to company guidelines • Preparing a Processing of interest journals on loan accounts • Processing of other journals / ad hoc transaction as Salary / Payroll Accounts and Journals: • Processing of all payroll journals as provided by payroll department department • Bonus provision journals Accounts Payable: • Reconciliations of accounts payable ageing with
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
internal control procedures. Journals – wages and salary journal, credit card journals as per expenses on the
statements (general journals, provisions journals, asset register updates and depreciation journals, VAT reconciliations
budgets