Responsibilities:-Coordinate with Import Broker in the punctual preparation and submission of documentation -Track the ETD and ETA from the Shipping
Responsibilities:-Coordinate with Import Broker in the punctual preparation and submission of documentation -Track the ETD and ETA from the Shipping
Responsibilities:-Bookkeeping of payables, petty cash, operational expenses, fixed assets, VAT, Withholding Tax, among others-Verify the accuracy of invoices
Responsibilities:-Bookkeeping of payables, petty cash, operational expenses, fixed assets, VAT, Withholding Tax, among others-Verify the accuracy of invoices
Responsibilities:-Coordinate with Import Broker in the punctual preparation and submission of documentation -Track the ETD and ETA from the Shipping
Responsibilities:-Bookkeeping of payables, petty cash, operational expenses, fixed assets, VAT, Withholding Tax, among others-Verify the accuracy of invoices
Responsibilities:-Coordinate with Import Broker in the punctual preparation and submission of documentation -Track the ETD and ETA from the Shipping
Responsibilities:-Bookkeeping of payables, petty cash, operational expenses, fixed assets, VAT, Withholding Tax, among others-Verify the accuracy of invoices
Responsibilities:-Coordinate with Import Broker in the punctual preparation and submission of documentation -Track the ETD and ETA from the Shipping
Orix Metro Leasing and Financial Corporation Branch Accounting Associate (Rolling Intake) Multiple Locations Opportunity Expired Join Orix Metro and be part
Join to apply for the Hedge Fund Accountant role at NAV India Join to apply for the Hedge Fund Accountant role at NAV India Save this job with your existing
The **Cash and Inventory Associate** is responsible for ensuring smooth day-to-day operations in the Trading Store and for supporting the Branch Manager in
Bookkeeper is responsible for ensuring the accurate processing, recording monitoring, filling, payments remittances and comply with relevant reporting
Bachelor's degree in **Accountancy/Accounting Technology/Banking and Finance/Business related course**:- Has knowledge or experience in any of the following:
The Cash and Inventory Associate is responsible for ensuring smooth day-to-day operations in the Trading Store and for supporting the Branch Manager in reports
**Qualifications**:- Must be graduate of business course.- Preferably graduate of BS Accountancy.- At least a year of experienced as Accounting Associate-
**Job Summary**:- Review of daily accounting transactions (disbursement, clients purchases & payments).- Bank reconciliation.- Support month-end closing of
**Qualifications**:- Must be graduate of business course.- Preferably graduate of BS Accountancy.- Fresh Graduate is welcome to apply- At least a year of
Responsibilities- Process outgoing payments in compliance with financial policies and procedures- Perform day to day financial transactions, including
The **Cash and Inventory Associate** is responsible for ensuring smooth day-to-day operations in the Trading Store and for supporting the Branch Manager in