- Completion of Bank Reconciliations, ensuring that these are up to date and completed on a weekly basis.
- Maintenance of Cash Book postings
- Posting journals to Nominal Ledger
- Sales and Purchase Ledger Control Account reconciliations
- Maintain the Nominal Ledger transactions, responsible for its ownership and control
- Balance Sheet Reconciliations
- Ad-hoc duties to support the Accounting transactions, as required by the Finance Manager and Management Accountant
Reference no: 42638
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