General Ledger accounts Petty cash control and reconciliation Bad debt control and disbursements Full creditors of all creditors contracts and renewals VAT reconciliation and control and e-filing submission Process
regulations Perform general accounting tasks such as reconciliations and journal entries Assist with budgeting and
general accounting tasks, including data entry, reconciliations, and journal entries Assist with month-end
general accounting tasks, including data entry, reconciliations, and journal entries Assist with month-end
for the finance team. · Review of monthly reconciliations · Treasury management · Month end process completion
Responsibilities Month End Preparing loan account reconciliations and product development cost calculations Review