Work involves preparing financial statements, schedules and reports, completing journal entries, maintaining ledgers, reconciling and verifying accounts, and...
Reconcile monthly bank account statements for 50+ mall locations (allocation of both credit card settlement and local cash deposits)....
Research and analyze invoices from vendors. Reconcile Balance sheet accounts pertaining to Accounts Payable process....
Review and verify the accuracy of journal entries and accounting classifications assigned to various records....
Prepare accurate financial statement reconciliations including related journal entries. Bachelor's Degree in Accounting or Finance plus two (2) years...
Executing, as applicable, processes related to accounts payable and accounts receivable management, bookkeeping entries, closing the books monthly as well as...
Executing, as applicable, processes related to accounts payable and accounts receivable management, bookkeeping entries, closing the books monthly as well as...
Executing, as applicable, processes related to accounts payable and accounts receivable management, bookkeeping entries, closing the books monthly as well as...
Executing, as applicable, processes related to accounts payable and accounts receivable management, bookkeeping entries, closing the books monthly as well as...
Executing, as applicable, processes related to accounts payable and accounts receivable management, bookkeeping entries, closing the books monthly as well as...