responsible for posting Journals en reviewing of Management Accounts. To be successful you need to have updated
of fixed assets. •Recommending to management any updates to accounting policies related to fixed assets robust control environment exists around the Management Accounts VAT process. •Full responsibility for VAT Sheet, Trial balance. •Issuing of complete management accounts to the CEO by the 15th of every month •Preparation end reports •Reconcile, maintain and manage General Ledger accounts on a monthly basis. •Clearing of suspense
Proven ability to calculate, manage Supplier financial records / accounts • Data entry skills • Hands-on
fitness for work and injury on duty management. Accountabilities: Client service delivery and quality
Branch Manager and Office Manager role