Wilderness SafarisAccounting and Finance Intern
Jan. 2017 - Jun. 2017Victoria FallsReporting to Management Accountant Petty Cash management Capture, Post supplier Invoices on Microsoft dynamics great plains Compile guest registers and reconciling Preparation of RtGs for Suppliers settlements Verification of purchase vouchers to procedure Compile and compute Value added Tax 10, and 7 (Zimbabwean Tax standards) for tax payments and claims Corporate Banking Bank Reconciliations Receivables and Payable reconciliations