Duties Reconciliation & month-end reconciliation (Ledger account reconciliation, recon of loan accounts) Opening of debtors & creditors accounts, Debtors invoicing, Creditors invoice processing, Journals (payroll journal, supplier journal, general journal) Petty cash, Administration, Assist
financial statements in line with applicable accounting standards; Assist managers with various client matters
financial statements in line with applicable accounting standards; Assist managers with various client matters