Uploading of accounting records to maintain copies of the filesMaintaining financial reports, records, and general ledger accountsPreparing journal entries, analyses, and account reconciliations and assistingwith monthly close processesReconciling bank statements and perform necessary adjustmentsMaintaining documentation for accounts payable, accounts receivables, andconducting internal auditsPerforming monthly balance sheet reconciliationsMeeting processing and reporting deadlinesResponding to information requests, reviewing financial statements, and assisting with auditsMaintaining Book of AccountsQualifications:
Graduate of Accounting Course or any related course