Vacancy Description
Process daily financial transactions including accounts payable and receivable bank reconciliations and expense reports
Assist with monthend and yearend closing procedures
Maintain and update general ledger and subledgers
Prepare journal entries and ensure all entries are properly recorded
Support audit activities and provide required documentation
Maintain accurate and uptodate financial records and reports
Assist with budgeting and forecasting processes
Ensure compliance with internal policies and accounting standards
Respond to internal and external inquiries regarding financial data
Perform other duties as assigned by the Accounting Manager or senior staff
Bachelors degree in Accounting Finance or a related field
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