prepare payment reconciliations. Prepare and review supplier and balance sheet reconciliations. Balance and and information. Prepare credit card sales reconciliations. Manage business credit cards for station managers
prepare payment reconciliations. Prepare and review supplier and balance sheet reconciliations. Balance and and information. Prepare credit card sales reconciliations. Manage business credit cards for station managers
prepare payments reconciliations Prepare and review supplier and balance sheet reconciliations Balance and which is required Prepare credit card sales reconciliations Manage business credit cards for station managers
General Ledger accounts Petty cash control and reconciliation Bad debt control and disbursements Full creditors of all creditors contracts and renewals VAT reconciliation and control and e-filing submission Process
posting Updating of daily cash flows Creditors reconciliations Daily cashbook postings VAT recons and submissions
posting Updating of daily cash flows Creditors reconciliations Daily cashbook postings VAT recons and submissions