to trial balance level Cashbook control and reconciliations, including bank statements Creditors and debtors to trial balance level Cashbook control and reconciliations, including bank statements Creditors and debtors
accomplishing related results as needed Daily bank reconciliations VAT, PAYE, debtors, creditors allocations and Assist with switchboard duties Month-end stock reconciliations Collections of overdue moneys Banking of cash accomplishing related results as needed • Daily bank reconciliations • VAT, PAYE, debtors, creditors allocations with switchboard duties • Month-end stock reconciliations • Collections of overdue moneys • Banking of