invoice processing, Journals (payroll journal, supplier journal, general journal) Petty cash, Administration invoice processing, Journals (payroll journal, supplier journal, general journal) Petty cash, Administration
coordination of monthly financial procedures (journals and invoicing), budget projections, record keeping and reporting Financial transaction processes: journals, payments and invoicing Events and logistical financial payments and journals Payment processing Invoicing Reconciliations and journals Billings and collections
coordination of monthly financial procedures (journals and invoicing), budget projections, record keeping and reporting Financial transaction processes: journals, payments and invoicing Events and logistical financial payments and journals Payment processing Invoicing Reconciliations and journals Billings and collections
& Journals Bank & Cash Reconciliations Sales & Purchase Ledger Review Payroll Journals Hire & Self Review Preparing and entering wage journals Key attributes At least 4 years' experience Knowledge
accounts
and bank statements.
Process cashbooks and journals on Pastel.
Handle account processing and and reconciliations.
Conduct month-end journals and VAT calculations.
Capture EFTs
Update
will do SA and Mozambique cashbook functions, journals, debtors, clearing docs etc. Bachelors Degree and Bank reconciliation Processing of Monthly journals Ensuring Insurance claims are followed up and asset register and monthly depreciation. Monthly journal entries Preparation of monthly management accounts
month-end close processes, including preparation of journal entries, account reconciliations, and financial
recurring journals for the group.
Processing of duly authorised ad-hoc journals as required
necessary accounting adjustments via appropriate journal entries.