Job Description :
Provide support for the daily, weekly and monthly accounting functions. Provide financial information for the organization by maintaining and reconciling general ledger accounts. Maintain the general ledger accounts by monitoring journal entry preparation; preparing monthly accruals and entries and reconciling accounts monthly.
- Accounts receivable – assisting with daily invoicing
- Cash application – Applying customer payments timely
- Commissions – Process monthly commission statements
- Maintain controls over accounting transactions
- Complete special projects giving insightful analysis when needed
- Reconcile financial discrepancies by collecting and analyzing account information)
- Protect the company’s value by keeping information confidential.
- Responsible for all the Finalization of A/c knowledge ( Preferred )