and journal entries Provision of cover for the PurchaseLedger function during ... monthly management accounts Reconciliation of bank and other nominal ledger
ledger, 80 each month ·Producing accurate and timely financial information ... , forecasts, accruals, ·Month end procedures including sales accruals, journals, over / under overhead recovery analysis ·Raising sales invoices and monitoring of outstanding debtors and cash forecasting ·Approving Purchase