Employer Active
Preparing and posting of month end journals.
Monthly balance sheet reconciliations.
Monthly bank account and credit card statement reconciliations.
Fixed Assets Register management.
Monthly supplier statement reconciliation.
Prepare accurate monthly, quarterly, and annual financial statements (P&L, BS, CF).
Preparation and submission of tax and VAT returns
Liaising with external Auditors and bankers.
Accounts receivables management.
Weekly supplier payables planning and payment.
Full Time