Reconciling bank statements and general ledger accounts Reconciling accounts receivable and accounts payable Reconciling inventory records and clearing accounts Preparing journal entries and adjustments Investigating and resolving transaction discrepancies Assisting with month-end and year-end closing processes Monitoring bank activities and identifying potential fraud or errors Job Type Full-time Pay 8 168 02 - 25 000 00 per month Advantages Provident Fund Work Location In person Expected Start Date 28 07 2025