Operation Reconciliation Specialist

Egypt - Giza

• Reconciling payments to ensure the accounting system reflects the correct transactions 

• General ledger reconciliations 

• Account reconciliations such as bank, inventory control, clearing, billings etc.

• Issue receipts to customers on receipt of payments • Performing daily financial transactions such as verifying, calculating and posting accounts receivable data

• Supporting the month-end process

Post date: 23 May 2024
Publisher: Wuzzuf .com
Post date: 23 May 2024
Publisher: Wuzzuf .com