* Maintain an accurate record of financial transactions
*Update and maintain the general ledger
*Recording of debits and credits
* Knowledge of XERO
*Recording day to day financial transactions and completing the posting process
*Verifying that transactions are recorded in the correct day book, suppliers ledger, customer ledger and general ledger
*Bringing the books to the trial balance stage
“It definitely helped transform my business and take a significant load off for me.”
Samori Coles
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