Review monthly/weekly creditor reconciliations Verify EFT payment packs Release EFT payments Review journals reconciliations between general ledger and fixed asset register Update Capital WIP-file monthly Create
Review monthly/weekly creditor reconciliations Verify EFT payment packs Release EFT payments Review journals reconciliations between general ledger and fixed asset register Update Capital WIP-file monthly Create
looking for a Financial Clerk responsible for verifying financial data and maintaining accurate records
looking for a Financial Clerk responsible for verifying financial data and maintaining accurate records
managers. Ensuring the timeously completion of asset verifications. Monthly stock verifications and stationary