Prepares monthly standard general ledger entries, account reconciliations, and various other accounting reports.
Completes account reconciliations and prepares?and enters corresponding journal entries into the general ledger
Provides information to the concerned department, explain accounting transactions, and resolves accounting issues and discrepancies.
Provides management with accurate and timely information needed to understand and manage its products and services in order to maximize financial performance.
In charge of Bank Deposits, Telex Transfers, Revenue & cost of Office Sales, Cost through Work In Progress and accrual of Cost
Responsible for Safety & Quality of the function/ Task performed.
Carrying out other occasional duties related to the scope of the job as requested.
Education
Bachelor?s degree in Accounting or equivalent experience.