On-site
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Company

Job Details

Record and maintain financial transactions and accounting entries.
Assist with accounts payable and receivable activities.
Prepare bank and account reconciliations.
Support month-end closing and financial reporting.
Verify invoices, payments, and supporting documents.
Assist with audits and other finance-related tasks.
Ensure accurate and timely filing of financial records.
Work closely with the Finance team to support daily accounting operations

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