Performing daily/weekly/monthly reconciliation tasks and investigating/correcting discrepancies
Completing manual booking and approve journal bookings and balance sheet reconciliations
Preparing VAT returns/Intrastat/EC sales and purchase reporting
Process and allocate payments a.
Completing manual booking and approve journal bookings and balance sheet reconciliations
Preparing VAT returns/Intrastat/EC sales and purchase reporting
Process and allocate payments a.