Vacancy Description
- Maintain and reconcile general ledger accounts ·
- Prepare and post journal entries
- Assist in month-end and year-end closing activities
- Reconcile bank statements and subsidiary ledgers
- Review and analyze financial transactions for accuracy·
- Support preparation of financial reports and schedules
- Ensure compliance with company policies and accounting procedures·
- Assist in audits and provide required documentation·
- Perform other accounting tasks as assigned
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