Assist in performing reconciliations of accounts
Assist in the preparation of monthly financial statements, expense accruals, schedules, bank reconciliations, post journal entries, budgets.
Assist in preparation for audits, tax packages.
Assist in Banking activities including receipts, fees, target balance calculations.
Perform accounting tasks as assigned by the Financial Controller
Assist the controller in the preparation of internal and external reports, including financial statements, regulatory, budget, audit,…