materials Monthly wages Processing of Bank and reconciliation of bank Prepare and send out statements to
financial statements, various tax duties and auditing Bank reconciliations Invoice and statement checking Assists
be responsible for submitting instructions to the bank related to Forward Exchange Transactions The candidate The candidate will be required to reconcile the bank statement on a daily basis The candidate will be
Drive experience is essential Duties will include: Bank reconciliation Journal processing Balance sheet
general ledger and subsidiary accounts. Completes bank reconciliation and cashbook entries. Analyses performance
join our dynamic team, based in Brits (North West). Bank processing and reconciliations. Preparing monthly
to property transactions. Liaising with clients, banks, and other stakeholders to ensure smooth processing
to property transactions. Liaising with clients, banks, and other stakeholders to ensure smooth processing