Ensure that all accounting ledgers are maintained accurately and all accounting reconciliations to be completed each month. Schedules to be provided as required.
Assist in cash flow management (cash flow projections and monitoring).
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Ensure that all accounting ledgers are maintained accurately and all accounting reconciliations to be completed each month. Schedules to be provided as required.
Assist in cash flow management (cash flow projections and monitoring).
...
Ensure that all accounting ledgers are maintained accurately and all accounting reconciliations to be completed each month. Schedules to be provided as required.
Assist in cash flow management (cash flow projections and monitoring).
...
Responsible for obtaining bank statements and bank reconciliations.
Preparing journal and adjust the balance sheet.
Responsible for receiving and examining documents (employee reimbursement , employee borrowing , project and materials models ) and get approval following the procedures.
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