Reconciliation of general ledger accounts.
Reconciliation of payrolls and related accounts.
Checking daily posting into the accounting software.
Preparing end month journals
Income and expenditure account analysis.
Labelling and tracking of fixed assets and updating the fixed assets register.
Monitoring and documenting movement of fixed assets.
Ensure all vouchers and accounting documents are filed in an orderly and efficient manner.
Perform any other duties assigned by the management and directors.
To apply for this job please visit www.brightermonday.co.ke.