KEY ACTIVITIES: 1. Reviews and reconciles submitted branch reports and settlement reports in foreign exchange and remittance 2. Prepares daily and monthly
Job summary Responsible for reviewing and reconciling branch reports in foreign exchange and remittance Prepares and reviews daily and monthly accounting
Job summary Review and reconcile branch and settlement reports Prepare accounting entries and review ledgers Provide accounting support and prepare cash and
Job summary Responsible for reviewing branch reports and other reports for accuracy Assists in preparation of financial statements Provides accounting support
Job summary Review branch reports and assist in preparing financial statements Provide accounting support to managers Reconcile and prepare accounting entries