Responsibilitiesï‚· Responsible for month-end close activities, account reconciliations, Preparing & posting ofJournals, and allocations,ï‚· Preparing reconciliations of balance sheet accounts, investigating, and resolvingdiscrepancies as needed,ï‚· Fixed assets (Leases & Intangibles) accounting and reconciliations,ï‚· Posting Bank related Journals, making reconciliations and preparing various reports,ï‚· Review of P2P & O2C accounting, Reconciliations, Journals,
Responsibilitiesï‚· Responsible for month-end close activities, account reconciliations, Preparing & posting ofJournals, and allocations,ï‚· Preparing reconciliations of balance sheet accounts, investigating, and resolvingdiscrepancies as needed,ï‚· Fixed assets (Leases & Intangibles) accounting and reconciliations,ï‚· Posting Bank related Journals, making reconciliations and preparing various reports,ï‚· Review of P2P & O2C accounting, Reconciliations, Journals,
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