Information about reconciliation of accounts and checking of reconciling items 1. PIML client accounts are reconciled monthly. 2. All reconciliations are reviewed monthly by the Head of Accounts and Signed off by the Principal. By admin|2024-06-13T10:05:40+01:0013 June 2024|Money Handling|0 Comments Share This Story, Choose Your Platform! FacebookXRedditLinkedInWhatsAppTelegramTumblrPinterestVkXingEmail About the Author: admin Leave A Comment Cancel replyYou must be logged in to post a comment.
Leave A Comment
You must be logged in to post a comment.