**SPECIFIC DUTIES AND RESPONSIBILITIES** - Uses computer terminal to access database for obtaining account status or entering data on assigned accounts;
Accounting StaffAccounting StaffResponsible in validating, processing and recording transactions arising from requests for payments of suppliers,
Prepare journal entries and reconcile accounts Maintain the general ledger and bank reconciliation Support month-end and year-end close processes Prepare
Accounting Staff Accounting Staff Responsible in validating, processing and recording transactions arising from requests for payments of suppliers,
Prepare journal entries and reconcile accountsMaintain the general ledger and bank reconciliationSupport month-end and year-end close processesPrepare account
Prepare journal entries and reconcile accounts Maintain the general ledger and bank reconciliation Support month-end and year-end close processes Prepare