Financial control, recording of financial transactions, journals, payable / receivables management
1-Day Notice
• Daily reconciliation of bank accounts (multiple currencies / crypto currency)
• Preparing and processing invoices
• Processing expense claims
• Preparation and submission of VAT Returns
• Managing accounts Payable / Receivable
• Monthly accruals
• Preparing and posting journal entries
• Intercompany reconciliation
• Financial Reporting
• Support the production of statutory accounts