reduction or efficiency improvement
bank account to the original bank statements as supplied by the company commercial banker Report, track comments Prepare for signature by the General Manager the bank reconciliation statement monthly. Ensure ledger accounts ( budget versus actual report, Management Packs, cash flow statement, balance sheet, inventory signed off by both the bookkeeper and the general manager. Provide assistance to the company auditors at
technology, drivers with extensive experience and a management team that believes in personal service, this to trial balance (Including debtors management, creditors management, general ledger) • Tax compliance Financial Reporting • Month end procedure management • Team management • Beneficial if articles were completed Competencies: • Managing Timescales • Following Procedures • Checking Things • Upholding Standards • Managing Tasks account reconciliations. Month End Procedure Management 50% • Manage and assist the team to complete the month-end
committed to sustainable and responsible e-waste management. With a focus on environmental conservation and resolve any discrepancies.
monitoring of budgets. Education:
support decision-making processes. Responsibilities: Manage and maintain financial records using Acumatica adjustments. Prepare financial reports and analysis for management review, including variance analysis and trend
advantageous Proven team leadership and staff management skills Strong planning and administrative abilities