filing of the following is conducted and up to date. Bank account and debit order list,Prepare new budget General Ledger, Journal entries and preparing and processing manual journal entries Coordinate proper management finance folder Perform and facilitate the following banking transactions, transfers and reconciliations on basis:Credit cards transfers,Bank account reconciliation by drawing statement daily from bank and update on the Forex transfers,Inter-account transfers,Open new bank accounts,Order forex cash for petty cash box,Process
role is to take responsibility for all operational level accounting functions, including monthly management
skills to interact with stakeholders at various levels. Proficient in Microsoft 365 Applications, including skills to interact with stakeholders at various levels. Proficient in Microsoft 365 Applications, including
skills to interact with stakeholders at various levels. Proficient in Microsoft 365 Applications, including skills to interact with stakeholders at various levels. Proficient in Microsoft 365 Applications, including