Duties:
Journal Entries
Balance Sheet Recons
Client Service Monthly support
Payroll
Duties:
Journal Entries
Balance Sheet
Recons Client Service Monthly support
Payroll
Duties: Journal Entries
Balance Sheet Recons
Client Service Monthly support
Payroll
journal entries, management reporting, balance sheet, supplier age analysis, year-end audit, recon preparations
function Preparing income statement analysis/ balance sheet analysis Reviewing of creditors reconciliations
all COD payments and company expenses, expense sheets to be completed and payments to be loaded, once Financial Manager with audit requirements, balance sheet reconciliations and related queries. Generate monthly
the general ledger.
Preparation of balance sheet reconciliations.
Vat reconciliations and vat
group. Processing entries and conducting balance sheet reconciliations for entities within the group. Preparation
of monthly creditors Review of monthly balance sheet audit file Monthly review of 12-month Income Statement
monthly creditors