Job Description
- Prepare and maintain timely and accurate trial balance and financial statements
- Daily/Monthly Bank Reconciliations.
- Instrumental in the month end close process
- Assist in the daily accounting affairs
- Prepare day-to-day and accurate management's financial or internal reports
- Control accounting book entries, modify, and document record keeping and accounting systems, making use of current computer technology
- Able to cooperate in the field of monitoring subsidiaries