Checking that credit card statement reconciles to General ledger. Assisting Financial manager as and when amounts. Petty cash transactions capturing and maintenance of petty cash. Preparing cross border documents authority systems and payments made on time. Maintenance of asset register and monthly depreciation. Monthly
Checking that credit card statement reconciles to General ledger. Assisting Financial manager as and when amounts. Petty cash transactions capturing and maintenance of petty cash. Preparing cross border documents authority systems and payments made on time. Maintenance of asset register and monthly depreciation. Monthly
Maintains general ledger by transferring subsidiary account summaries. Balances general ledger by preparing
Maintains general ledger by transferring subsidiary account summaries. Balances general ledger by preparing