years' experience in Private Equity, Investment Banking, Corporate Finance or M&A Strong valuations
you are available immediately. Monthly reporting Banking Trial balance General Ledger Budgeting Prepare
Processing and allocating deposits received from bank statement as well as discount calculations Account
you are available immediately. Monthly reporting Banking Trial balance General Ledger Budgeting Prepare
reconciliation of Electronic Remittance Advice (ERA) and bank statements Obtain and input manual Remittance Advices
into a fulfilling career with a highly esteemed banking institution actively seeking a permanent Software
expenses, and other financial activities. Reconcile bank statements, accounts receivable, accounts payable
expenses, and other financial activities. Reconcile bank statements, accounts receivable, accounts payable
Foreign) – Preparing payments daily/weekly/monthly Bank Reconciliation (Weekly and Monthly) Other reconciliations
date Prior/Current experience as an F&I or Banking experience as a BDO with a proven track record