Job Description
Duties and Responsibilities
- Assist with month-end financial reports
- Post journal entries
- Help with accounts receivable, payable, and bank statement reconciliation
- Assist with audits
- Reconcile balance sheet accounts
- Collaborate with the finance team on yearly forecasting efforts
- Manage monthly tracking of physical inventory
- Support the payment processing team
- Perform credit checks
- Assist with data entry
- Give daily Reports on MIS.