RESPONSIBILITIES:. Nature of work includes, but not limited to: Credit Card and Sales Reconciliation, Customer Billing, Cash Application for invoic...
Responsibilities:Perform month-end close activities, including preparation of journal entries, account reconciliations, and flux analysis related t...
J O B S C O P E Prepare monthly journal entries such as Cash, Payroll, Benefits, Prepaid, In-kind, Expense Allocations & Revenue. P R I M A R Y R E...
A. Knowledge Requirement:• Must be a graduate of any 4-year course, with a Degree preferably in BusinessAdministration, Mass Communication, Marketi...
•Create detailed journal entries and post them to the general ledger to track all income statements and expenses•Managing company's accounts payabl...
KNOWLEDGE REQUIREMENT:• Must be a graduate of any 4-year course, with a Degree preferably in BusinessAdministration, Mass Communication, Marketing,...
- Prepares payable and journal vouchers, expense and accounts payable reports;- Checks and updates correct entries in payable and journal vouchers;...
• Bachelors degree in Journalism, Communication Arts or any related course• 1-3 years experience in newswriting or news editing• Experience in usin...
*Maintaining financial reports, records, and general ledger accounts.*Preparing journal entries, analyses, and account reconciliations and assistin...
Any business course preferably Accounting GraduateWith knowledge in handling AR and APWith knowledge in bank reconciliationKnows how to prepare Jou...
Any business course preferably Accounting GraduateWith knowledge in handling AR and APWith knowledge in bank reconciliationKnows how to prepare Jou...
Any business course preferably Accounting GraduateWith 1-2 Years Experience in Accounting fieldWith knowledge in handling AR and APWith knowledge i...
a) Oversee the preparation of the Financial Statement (Balance Sheet/P&L)b) Analysis of production costingc) Timely recording and confirmation of P...
Job descriptionAny business course preferably Accounting GraduateWith knowledge in handling AR and APWith knowledge in bank reconciliationKnows how...
1. Review of the clients' financial reports generated from the accounting system including detailed review and analysis of journal entries prepared...
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