Weekly bank reconciliation on multiple bank accounts Final monthly bank reconciliations by the 5th of Cycle counts for retail stores – issue and reconciliation Prepare daily PO's for non-stock purchases
bookkeeping role. Previous experience with reconciliations. Experience in a stock related function advantageous
bookkeeping role. Previous experience with reconciliations. Experience in a stock related function advantageous
supporting documentation. Prepare the relevant reconciliations within stipulated timeframes and deadlines
invoice packs. Prepare the relevant payment reconciliations within the stipulated timeframes and deadlines
timely manner. Ensure accurate recording and reconciliation of financial transactions related to online