Prepares journal entries, balance sheet and ledgers as well Prepares the monthly salaries staff members Coordinates with banks cash deposits and withdrawals Conducts accounts and banks reconciliations Prepares and issues invoices, checks and transfer forms Coordinates with customers for invoices collection Assists in monthly closings Develops monthly activity and expenses report Develops the monthly activity and expenses report Maintains an organized filling system for the company's financial documents
from Wuzzuf All Jobs http://bit.ly/2uRrn60
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