all we do in our Value-Added Business. Capturing journals. Resolving queries/issues on accounts. Preparing
all we do in our Value-Added Business. Capturing journals. Resolving queries/issues on accounts. Preparing
annual financial statement, along with managing journals and reconciliations. Additionally, they will be
business. DUTIES Dispatch Product planning Invoicing Journals Management packs Education and Experience: Min
reconciliations and the timely updates of accruals and journal entries. Handle cost allocations for payments and
reconciliations and the timely updates of accruals and journal entries. Handle cost allocations for payments and
business. DUTIES Dispatch Product planning Invoicing Journals Management packs Education and Experience: Min
annual financial statement, along with managing journals and reconciliations. The accountant will also
for recording transactions in the ledgers, and journals responsible for control over funds and assets
invoices and generating customer invoices. Prepares journal entries and reconciles general ledger and subsidiary