Organise accounting records such as registers, ledgers, journals and individual accounts ● Evaluate and reconcile diverse financial operations, inspect and confirm source documents, including invoices and expense vouchers to affirm commitments and post suitable records ● Assist with tax returns if required ● Accrue journals and balance sheet reconciliations ● Manage schedules of standard objectives, financial statements and reports ● Organise source documents, files and other account affiliated information ● Organise all routine registers; manage the budget and carry out analysis on all data ● Perform proper maintenance of all end-of-year records
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