entries, and capitalizing of placed devices as assets. Verify and reconcile data entered into the system
Accounting Software Maintain and update the asset register Verify vendor invoices against tariffs and the Accounting Software Maintain and update the asset register Verify vendor invoices against tariffs and the
Accounting Software Maintain and update the asset register Verify vendor invoices against tariffs and the
journals, balance sheet reconciliations, asset register, etc. Verify accuracy and completeness of financial
monitor expenses
Requirements:
retain invoices for next visit. Asset tracking and maintenance Verify and ensure hygiene (clean) of all