exceptions Process correcting journals in the general ledger Maintain and reconcile cashbooks, store
/>Duties:
healthy Month end inventory reconciliation to General Ledger Monitor and review inventory provision in reconciliation of Inventory balance report to general ledger Inventory ID set up and stock items master in the monthly close process. Prepare month end general accruals and account reconciliations and perform in the monthly close process Prepare month end general accruals and account reconciliations and perform in the monthly close process Prepare month end general accruals and account reconciliations and perform
on Pastel, process journal entries and compile general ledger, draw up financial statements to consolidated Ensure records are maintained in accordance with generally accepted accounting principles. To regulate cash management processes. Supervision over general accounting, property accounting, cost accounting
as and when needed basis. General: Daily / continuous observation of general quality of the washed linen dedication must be always displayed to the customer and General staff. Ad hoc Duties To assist with other duties
workflow, development application management, and all general and ad-hoc municipal interactions and key relationship
as and when needed basis. General: Daily/continuous observation of general quality of the washed linen
as and when needed basis. General: Daily/continuous observation of general quality of the washed linen
General:
quoting and booking confirmations and 40% on admin, general office related matters and operations). Key Result clients. Provide feedback to management regarding general office and client issues. Ensure that the company