Jul 042018
 

• Sales Invoicing and Receipt preparation • Payable Transactions Entry • Full responsibility in Intercompany reconciliations & monthly follow‐ups • Module reconciliations •Daily banking support • Kyriba & Bank Reconciliation Module Maintenance • Receivable & Payable follow‐up • Assisting the Export LC submission & follow‐up • VAT return support • Monthly closing support • Day […]

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Jul 042018
 

Preparation of monthly, quarterly and annual financial reports Maintaining accurate and up to date records of all financial transactions Computation and payment of staff salaries on a monthly basis Processing year end accounts Liaising with internal and external auditors as required. Investigating outstanding items and resolving financial discrepancies. Supporting team members on all accounting issues. […]