Job Description
* Assist with the monitoring of balance sheet postings to ensure accurate reconciliation of ledgers.
* Management of accounts and reconciliations.
* Assist with the fixed asset register and communicate with department heads to ensure accuracy across all sites.
* Full monthly audit trail review to ensure accuracy of entries and highlight any necessary prepayment/accrual adjustments.
* Complete monthly and annual...
ZIPC1_UKTJ
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