update forecasts. Reconciliation and Analysis: Complete balance sheet reconciliations and management accounts
general ledger Reconciliation of entries into Sage Evolution Processing and reconciliation of Korridor Bank
general ledger Reconciliation of entries into Sage Evolution Processing and reconciliation of Korridor Bank
and cash) - Weekly banking requirements / reconciliations, - Processing of drivers' payroll, - VAT calculations calculations, - Monthly management reports & reconciliations, - Drafting of Management statements to be
responsible for would be: Accountable for monthly reconciliation of assigned GL accounts, Active involvement involvement in monthly stock counts and reconciliations, Preparation of weekly and monthly income statements and
responsible for would be: Accountable for monthly reconciliation of assigned GL accounts, Active involvement involvement in monthly stock counts and reconciliations, Preparation of weekly and monthly income statements and
financial statements, compiling journals and reconciliations as well as calculating tax. Job Experience
financial statements, compiling journals and reconciliations as well as calculating TAX. Job Experience
responsibilities inclusive of managing journals and reconciliations, calculating VAT and ensuring compliance with
accounting for month-end entries, balance sheet reconciliations, and the preparation of management accounts