reconciliations to Sub Ledgers on a monthly basis Manage month-end and year-end close process & support annual audits Maintaining Fixed Asset Register, Manage the cashbook and payment process, Reconciliation
reconciliations to Sub Ledgers on a monthly basis Manage month-end and year-end close process & support annual audits Maintaining Fixed Asset Register, Manage the cashbook and payment process, Reconciliation
Tableau, Power BI). Data Management: Ensure data accuracy and integrity by managing databases, data sources
domain expertise and a fully developed quality management system, my client focuses on providing specialized emphasizing skills development, job creation, project management, and funding mobilization. The Project Accountant
domain expertise and a fully developed quality management system, my client focuses on providing specialized emphasizing skills development, job creation, project management, and funding mobilization. The Project Accountant
reconciliations to Sub Ledgers on a monthly basis Manage month-end and year-end close process & support annual audits Maintaining Fixed Asset Register, Manage the cashbook and payment process, Reconciliation
reconciliations to Sub Ledgers on a monthly basis Manage month-end and year-end close process & support annual audits Maintaining Fixed Asset Register, Manage the cashbook and payment process, Reconciliation
Tableau, Power BI). Data Management: Ensure data accuracy and integrity by managing databases, data sources
industry and will report directly to a Financial Manager. Key responsibilities include compiling annual annual financial statement, along with managing journals and reconciliations. The accountant will also be tasked
industry and will report directly to a Financial Manager. Key responsibilities include compiling annual annual financial statement, along with managing journals and reconciliations. The accountant will also be tasked