Job DescriptionRecord the daily Journal entries on the system. Assist in handling payables & receivables.Maintain accurate supporting documents for all entries.Daily update of bank reconciliation sheets to provide a clear view for the cash management.Assist with month-end close processes and provide the support for audits.Follow up the collections process.Job RequirementsBachelors degree in accounting or finance.Good communication skills & teamwork.Good knowledge of accounting principles.Very Microsoft skills especially (Excel).Multi-tasking with organizational skills.Fast learner & self-motivated.
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