Supervising the accuracy and the high competency of bookkeeping in the accounting team
Carrying out bank transactions, journal processing, and manual entries
Handling revaluations and allocations
Taking part in month end closing activities
Reconciling ledger accounts, resolution.
Carrying out bank transactions, journal processing, and manual entries
Handling revaluations and allocations
Taking part in month end closing activities
Reconciling ledger accounts, resolution.