You will be part of a multi-cultural company, collaborating with offices around the world.
Roles and Responsibilities:
- Reconciliation of general ledger
- Preparing trial balance for general ledger
- Verifying, allocating and posting transactions of subsidiary accounts
- Subsidiary account reconciliation
- Preparing financial reports for external accountant
- Maintaining record of financial transactions
- Chart of accounts, defining bookkeeping policies and procedures
Reference no: 31701
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