The successful candidate will be responsible for:-
-Supporting in the preparation of timely and accurate monthly management accounts.
-Producing accruals, prepayments and journals.
-Managing cash allocation.
-Preparing and balancing of weekly and monthly bank reconciliations.
-Reconciling bank statements.
-Amending invoices and creating credit notes.
-Performing balance sheet reconciliations and VAT returns.
-Responsibility of sales ledger, purchase ledger and credit control duties.
Reference no: 19988
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