Responsibilities. Process transactions for banking and accounts payable. Prepare ad hoc reporting as required. Reconcile general ledger accounts. Prepare journal corrections as necessary. Work to achieve operational targets that impact team results. This role routinely uses standard office equipment such as computers, phones, photocopiers, filing cabinets and fax machines. Understand the bank reconciliation and other accounting reconciliations. S...
Responsibilities. Process transactions for banking and accounts payable. Prepare ad hoc reporting as required. Reconcile general ledger accounts. Prepare journal corrections as necessary. Work to achieve operational targets that impact team results. This role routinely uses standard office equipment such as computers, phones, photocopiers, filing cabinets and fax machines. Understand the bank reconciliation and other accounting reconciliations. S...
Job Description. Be an integral part of a growing and dynamic accounting team for a growth oriented company. Compare and reconcile monthly bank statements with the company’s general ledger. Identify and investigate any discrepancies between bank statements and internal records. Analyze and categorize transactions, ensure proper coding and documentation. Verify the accuracy of deposits, withdrawals, and other financial transitions. Process transac...
Job Description. Be an integral part of a growing and dynamic accounting team for a growth oriented company. Compare and reconcile monthly bank statements with the company’s general ledger. Identify and investigate any discrepancies between bank statements and internal records. Analyze and categorize transactions, ensure proper coding and documentation. Verify the accuracy of deposits, withdrawals, and other financial transitions. Process transac...