various goverment agencies. Handle accounts payable and recievables, bank reconciliation payroll and cash
various goverment agencies. Handle accounts payable and recievables, bank reconciliation payroll and cash
of the accounting team for the processing of financial transactions (payments, journals, bank reconciliations
Posting and processing journal entries to ensure that all transactions within all the client's depots (petty cash responsibilities, etc.) are recorded. Updating accounts payable and performing reconciliations. NATIS Document Regulation through The timeously requesting and collecting the relevant req