spreadsheets with daily transactions Prepare balance sheets Track and reconcile bank statements Create cost
transactions; Monthly analysis and reporting; Balance sheet reconciliations; Calculation & submission of
distributing function sheets. Liaising with the G&C department regarding function sheets and ensuring strict
distributing function sheets. Liaising with the G&C department regarding function sheets and ensuring strict
distributing function sheets. Liaising with the G&C department regarding function sheets and ensuring strict
distributing function sheets. Liaising with the G&C department regarding function sheets and ensuring strict
amongst other: Full Accounting function up to Balance Sheet reconciliations. Company entails 5 branches Monthly
amongst other: Full Accounting function up to Balance Sheet reconciliations. Company entails 5 branches Monthly
correctly on the accounting system. Ensure expiry sheet is completed weekly. General store merchandising
correctly on the accounting system. Ensure expiry sheet is completed weekly. General store merchandising