Bookkeeping
Accounts Payable
Accounts Receivable
Bank Reconciliation
Data Entry
Financial Reporting
Microsoft Excel
Accounting Software
Invoicing
General Ledger
- Assist in preparing journal entries and maintaining accounting records.- Support month-end closing and balance sheet reconciliation activities.- Perform data entry and ensure proper filing of accounting documents.- Assist in preparing schedules, reports, and supporting documents for financial reporting, audit, and tax matters purposes.- Perform other related ad-hoc duties as assigned.