and the timely updates of accruals and journal entries. Handle cost allocations for payments and deposits
and the timely updates of accruals and journal entries. Handle cost allocations for payments and deposits
cashbook transactions and any other required journal entries per client onto the general ledger. Prepare Balance
cashbook transactions and any other required journal entries per client onto the general ledger. Prepare Balance
Investment risk management. Requirements: MSc/post-graduate Degree (Finance, Investment, Economics, Computer
Investment risk management. Requirements: MSc/post-graduate Degree (Finance, Investment, Economics, Computer
Completed Degree in Accounting Relevant other post graduate qualification advantageous Job Experience &
Completed Degree in Accounting Relevant other post graduate qualification advantageous Job Experience &
achievements, and the potential to be taken to the next level. I will assist you in exploring opportunities within
achievements, and the potential to be taken to the next level. I will assist you in exploring opportunities within