Oversee the accounting of the company's retail stores.
Evaluating daily accounting activities and finding cost-saving methods
Prepare detailed account reconciliation and accurate journal entries posted into the financial systems.
Determine accuracy of balances, figures, calculations, postings, investigate and reconcile any differences.
Analyse, reconcile and post journal entries assigned to accounts.
Responsible for Monitoring all Inventory transactions within the stores.
Perform various month-end journal entries.
Provide Support for ad-hoc requests from senior management.