point-of-sale month end reports, · Processing cashbooks and bank reconciliations · Processing salary journals · Prepare
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of
dates, and compliance requirements. • Oversee Group bank accounts, foreign currency transactions, and Foreign
dates, and compliance requirements. • Oversee Group bank accounts, foreign currency transactions, and Foreign
Processing monthly cashbook transactions and performing bank reconciliations · Processing monthly journals and
Processing monthly cashbook transactions and performing bank reconciliations · Processing monthly journals and
ensure allocations are done correctly Reviewing bank reconciliations Monthly journals Submitting monthly