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The main responsibilities include updating the organisation’s Fixed Asset Register in line with policies and procedures, tagging of Fixed Assets and assisting with the completion of a sample audit of Fixed Assets. Responsibilities also include assisting the office manager with the upload of bank transactions and completion of bank account and balance sheet Reconciliations.
- Experience of working in Fixed asset accounting
- Experience in bank transaction postings and reconciliations and general ledger account postings and reconciliations
- Excellent IT skills with proficiency in M/S Office suite incl Advance Excel Professional interaction with internal teams
3 month temporary contract

