Job Description
- Preparation of bank reconciliation statements.
- Reconciliation of debtors and creditors ledgers with their invoices and receipts and payment.
- Preparation of debit/credit vouchers, bank/cash vouchers journal vouchers.
- Posting of different vouchers in relevant ledgers.
- Posting of ledgers into trial balance.
- Maintenance of sales and purchase ledgers.
- Preparation of sales and purchase invoices.
- Preparation of sales tax invoices.
- Preparation of different schedules for verification purpose.
Job Specification
- Good accounting skills
- Good interpersonal skills
- Administratively Sound
- Hardworking