Search Results: 8 vacancies
...general ledger payroll and utilities treasury, budgeting cash forecasting revenue and expenditure variance analysis capital assets reconciliations trust account statement reconciliations, check runs fixed asset activity debt activity.
Monitor and analyze accounting data...
...daily restrictions and follow-up of its own record Monthly closures and related clarifications.
Preparation of monthly bank reconciliation note
Preparing the statement of initial and final letters of guarantee, indicating the letters issued and returned during the...
...ledger, payroll and utilities, treasury, budgeting, cash forecasting, revenue and expenditure variance analysis, capital assets reconciliations, check runs, fixed asset activity, debt activity etc.
Plan, implement and oversee overall accounting strategy
Manage all...
...accounts, resignations, annual increases, overtime, loans, social insurance & wages tax, etc.) on a monthly basis to ensure full reconciliation with the financial department.
Conducting and updating Pay Structure, job evaluation,.etc.
Job Requirements...
...depth knowledge of accounts payable principles, accounting standards and industry regulations
Extensive experience in account reconciliation
Great time management and organizational skills
Excellent collaboration and communication abilities
Relevant training...
...Responsible for costing and variance analysis.
Responsible for the monthly inventory evaluation and purchase price variance reconciliation and forecasts.
Responsible for periodic check on the stock balance and the comparability with book records and reconciliation...
...numbers.
Be a part in preparing estimate budgets, deviations and analyzing its reasons.
Coordinate monthly closing process and reconciliation of general ledger accounts.
Effective Communication with company dept & externally with customers, suppliers, service...
...Job Description
Job Description:
Managing accounts payable / receivable, bank reconciliations and other day-to-day transactional duties, entering financial transactions on accounting software.
Maintaining and updating company and client accounting records in both...