and reconcile the cashbook. General Ledger and Journals: Complete General Ledger reconciliations with
and reconcile the cashbook. General Ledger and Journals: Complete General Ledger reconciliations with
declarations Control and maintain all journals General ledger account Inter-group balances and transactions
declarations Control and maintain all journals General ledger account Inter-group balances and transactions
entries. GL Listing and Trial Balance: Complete General Ledger reconciliations with supporting schedules
entries. GL Listing and Trial Balance: Complete General Ledger reconciliations with supporting schedules