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• Provide general accounting support. • Assist with payment of vendors and employee claims. • Help with accounts receivable management. • Provide support for annual budgeting process. • Assist with statistical analysis and other special projects. • Assist in the posting of daily journal entries. • Help with preparation of the periodical financial reports. • Help in the reconciliation of bank accounts. • Help with the forecasting and budgeting to manage expenses. Responsibilities may differ from time to time and must be updated and recorded accordingly.