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- -Help with month-end financial reports. -Work under supervision of other accountants -Help with bank statements reconciliation, as well as accounts payable and receivable. -Perform balance sheet reconciliation. -Assist with the preparation of ad hoc and other internal reports. -Ensure the completion of assigned tasks in line with established deadline. -Assist with the semi-annual physical inventory. -Study the accounting policies and processes of the organization and abide by them. -File and scan journal entries -Assist the coordinator with month-end financial reports. -Manage monthly tracking of physical inventory. -Support the payment processing team. -Do data entry and credit checks.
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