capturing
Process underwriting results per client onto the general ledger including premium, reinsurance premium, claims fees. Process reserves per client onto the general ledger i.e. outstanding claims, Incurred but Not Reported portions. Process income tax per client onto the general ledger. Process cashbook transactions and any other required journal entries per client onto the general ledger. Prepare Balance Sheet reconciliations per
assets
and capturing Reconcile bank balances record general ledger entries Sage Accounting, Sage Payroll Debtors Full function; Month end reports for VAT and General Ledger Sales; Invoicing, Credit notes and Statements
book and bank accounts: Prepare and process to general ledger daily cash takings, receipts from debtors and credit notes and returns are posted daily to the general ledger. Ensure that all debtors' receipts and deposits purchase order. Process the invoice to the general ledger (stock and or expenses) Prepare the month end statement, Detailed reconciliations of all general ledger accounts ( budget versus actual report, Management Consolidations Balancing and reconciliation of general ledger accounts. Maintain accurate fixed asset register
Process underwriting results per client onto the general ledger including premium, reinsurance premium, claims fees. Process reserves per client onto the general ledger i.e. outstanding claims, Incurred But Not Reported portions. Process income tax per client onto the general ledger. Process cashbook transactions and any other required journal entries per client onto the general ledger. Prepare Balance Sheet reconciliations per
Process underwriting results per client onto the general ledger including premium, reinsurance premium, claims fees. Process reserves per client onto the general ledger i.e. outstanding claims, Incurred But Not Reported portions. Process income tax per client onto the general ledger. Process cashbook transactions and any other required journal entries per client onto the general ledger. Prepare Balance Sheet reconciliations per
been captured and allocated to appropriate general ledger accounts. Ensure bank reconciliations are undertaken the General Ledger: Finalise inputs and attend to month end closure routine. Run general ledger and peruse months and examine unusual movement. Review general ledger and make necessary proposed adjustments. Provide