... recons Establishing different GL accounts Maintaining subsidiary accounts by posting, verifying, ... allocating transactions and balancing the accounts Advising management on compliance needs ... reconciliations Payment allocations Intercompany loan accounts
13 days ago
... transactions in general ledgers. Manage accounts payable and receivable (invoices, receipts ... Reconcile bank statements and internal accounts. Process payroll accurately and on ... financial regulations. Assist with annual accounts and tax preparation. Monitor ...
13 days ago
... records and documentation. · Reconciling tax accounts and resolving discrepancies. · Assisting with ...
11 days ago