Preparation Month-end Processes, including overseeing journals, balance sheet reconciliations, and maintaining
for recording transactions in the ledgers, and journals, preparation of annual financial statements, control
fixed asset register. Pass of monthly recurring journal entries. Reconcile the cashbooks. Capturing cash
key responsibilities such as preparing month-end journals, monthly VAT calculations and consolidations.
key responsibilities such as preparing month-end journals, monthly VAT calculations and consolidations.
paving their way to success. Duties: Review of Journals Budgeting and forecasting Preparation of management
paving their way to success. Duties: Review of Journals Budgeting and forecasting Preparation of management
the fixed asset register. Pass monthly recurring journal entries. Reconcile the cashbooks. Capture cashbook
the fixed asset register. Pass monthly recurring journal entries. Reconcile the cashbooks. Capture cashbook
compiling annual financial statements, managing journals and reconciliations, calculating VAT and ensuring