weekly cycle stock counts.
Assist with USA payroll schedule.
Assist with liaison with auditors
transactions such as accounts payable, accounts receivable, expenses and general entries/journals. Reconciliation: ensure accuracy. Managing Accounts Payable and Receivable : Managing accounts payable by processing and and paying invoices. Managing accounts receivable by generating invoices and following up with clients accounting software matches the bank statements received from the financial institutions. Accounts Payable: reconciliations of accounts payable. Accounts Receivable: Invoicing customers for goods or services, tracking
the entire accounts payable process, including receiving invoices from vendors, verifying their accuracy workflows, or other means. Ad Hoc Financial Tasks: Assisting with other financial tasks and projects as assigned
should the need arise. What you'll get You'll receive a market related salary and the opportunity to
to drive engagement and growth within the team Assisting with any ad hoc admin within the Finance department