Duties: Preparation of monthly financial reporting (journal processing, balance sheet recons, consolidation)
delivered to clients. Ensure that all Debtors Journal are processed timeously. To ensure that all process
Duties: Preparation of monthly financial reporting (journal processing, balance sheet recons, consolidation)
design including sourcing of data, processing of journals, disclosures on management accounts & Annual
preparation of monthly financial reporting, including journal processing, balance sheet reconciliations, and
designed plan, including gathering data, processing journals, and making disclosures on management accounts
meticulous oversight of daily, weekly, and monthly journal entries, ensuring accuracy and reconciliation.