products • Bank reconciliations • Journals • General Ledger accounts Salary: Market Related The post Assistant
fixed asset register with fixed asset general ledger accounts • Reconciliation of depreciation as per payable ageing with accounts payable general ledger • Review of accounts payable reconciliations on a weekly prescribed by management • Opening of new general ledger accounts as prescribed by management • Processing reconciliations (General Ledger and Age Analysis) • Bad Debt Provision Schedule • Accounts payable reconciliations reconciliations (General Ledger and Age Analysis) • All stock accounts reconciliations • Stock provision schedule
fixed asset register with fixed asset general ledger accounts • Reconciliation of depreciation as per payable ageing with accounts payable general ledger • Review of accounts payable reconciliations on a weekly prescribed by management • Opening of new general ledger accounts as prescribed by management • Processing reconciliations (General Ledger and Age Analysis) • Bad Debt Provision Schedule • Accounts payable reconciliations reconciliations (General Ledger and Age Analysis) • All stock accounts reconciliations • Stock provision schedule
fixed asset register with fixed asset general ledger accounts Reconciliation of depreciation as per the payable ageing with accounts payable general ledger Review of accounts payable reconciliations on a weekly prescribed by management Opening of new general ledger accounts as prescribed by management Processing reconciliations (General Ledger and Age Analysis) Bad Debt Provision Schedule Accounts payable reconciliations reconciliations (General Ledger and Age Analysis) All stock accounts reconciliations Stock provision schedule
Hyperion) Monthly reconciliation of the general ledger accounts Monthly reconciliations of selected creditors
/>
company's accounting functions, including general ledger, accounts payable, accounts receivable, and payroll
(including billings, accounts receivable, general ledger, accounts payable etc. )
* Ensure the correct
portfolios
maintain financial records, including general ledger accounts, financial statements, and reports.