Bookkeeping & Transactions: Manage the company’s accounts payable and receivable, including processing invoices, receipts, and issuing payments/cheques.
Reconciliation: Perform accurate monthly bank, intercompany, and vendor statement reconciliations.
Financial Reporting: Assist in preparing and analyzing monthly management accounts, cash flow statements, and financial reports.
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Bookkeeping & Transactions: Manage the company’s accounts payable and receivable, including processing invoices, receipts, and issuing payments/cheques.
Reconciliation: Perform accurate monthly bank, intercompany, and vendor statement reconciliations.
Financial Reporting: Assist in preparing and analyzing monthly management accounts, cash flow statements, and financial reports.
...