transactions and general accounting duties. Handle bank statements, supplier invoices, salary journals, verification of creditors, payments, and bank details. Perform weekly bank reconciliations, expense tracking
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information required for processing
information required for processing Completing the bank reconciliation Petty cash management Participate
investment structuring
reporting.
finance structuring
Control, Debtors Control, Salary and Wage Control, and Bank Reconciliation. • Initiate, compile, and execute
statements, reports, and budgets.
financial statements, reports, and budgets. Perform bank reconciliations and ensure accuracy of financial