to claim vat Prepare supplier reconciliations (account reconciliations to customer statements) and submit a daily basis Update Cashbooks and prepare reconciliations at month end Fixed assets: Capturing and maintaining
to claim vat Prepare supplier reconciliations (account reconciliations to customer statements) and submit a daily basis Update Cashbooks and prepare reconciliations at month end Fixed assets: Capturing and maintaining
accounts, performing monthly bank account reconciliations -Managing petty cash and handling administration Factory Shop accounting -Conducting daily cash reconciliations -Handling other ad hoc accounting and administrative
accounts, performing monthly bank account reconciliations -Managing petty cash and handling administration Factory Shop accounting -Conducting daily cash reconciliations -Handling other ad hoc accounting and administrative
similar role in a busy, up-market establishment Reconciliations knowledge & experience Knowledge of the
similar role in a busy, up-market establishment Reconciliations knowledge & experience Knowledge of the