BASIC FUNCTION: ? Creation of budget forecasting/monitoring, evaluation of reports & report to management, Serves as an Internal Auditor to check accuracy in
Job Overview:Join our team as a Client Bookkeeper and make a real impact by streamlining financial processes for our Oregon-based client. In this key role,
Handles bank and credit card reconciliationsProvide correct subsidiary ledger balances of Cash account and Credit Card ReceivablesAccounts reconciliations and
will be assigned in SubicDUTIES AND RESPONSIBILITIES· Issue appropriate invoice billings to clients and apply VAT when applicable· Collate all billable
We're obsessed with growth. From enabling companies to flourish, to helping careers bloom. SupportNinja was founded in 2015 to help companies solve for scale
Responsibilities:Maintain and manage precise financial records, encompassing accounts payable/receivable, general ledger entries, and bank
Responsibilities* Responsible for all reconciliations before locking the period, including bank reconciliations, Accruals, Prepaids &other accounts;Responsible
Job Qualification: • Graduate of BS Accountancy• CPA, an advantage• Preferably Female• At least 5 years managerial experience• Excellent
BOOKKEEPER Job DescriptionAt least 4 Year(s) of working experience in the related field is required for this position.Preferably 1-4 Yrs Experienced
Responsiblities:• Recording, summarizing, and analyzing financial transactions of the business• Bookkeeping, preparing financial statements, managing
Oversee accounts payable and receivable management.Perform bank statement reconciliation and compute tax obligation and refunds.Prepare and submit Value-Added
We help the world run better At SAP, we enable you to bring out your best. Our company culture is focused on collaboration and a shared passion to help the
We help the world run better At SAP, we enable you to bring out your best. Our company culture is focused on collaboration and a shared passion to help the
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Responsibilities* Responsible for all reconciliations before locking the period, including bank reconciliations, Accruals, Prepaids & other accounts; *
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