for the day-to-day accounting transactions of all entities within the group and assist the Finance Manager in the month end... and supplier payments. Sales ledger invoice processing and allocation of receipts. Bank and credit card reconciliations...
Universal Business Teamaccounting transactions of all entities within the group and assist the Finance Manager in the month end management accounts... and supplier payments. Sales ledger invoice processing and allocation of receipts. Bank and credit card reconciliations...
Universal Business Team