the general ledger, reconcile accounts, and investigate discrepancies. Financial Analysis: Conduct financial
contracts and agreements to ensure billing accuracy. Investigate and resolve billing discrepancies or issues.
the general ledger, reconcile accounts, and investigate discrepancies. Financial Analysis: Conduct financial
facilitate data needs for the audit team. Assist in investigations and other management requests as necessary
accuracy of charges, pricing, and billing details. Investigate and resolve any discrepancies or issues with
accuracy of charges, pricing, and billing details. Investigate and resolve any discrepancies or issues with
accurately in accounting records. Query Resolution: Investigate and resolve internal and external queries by
controls and systems to address these.
adjustments of payments and deductions. Proactively investigate and resolve discrepancies, communicating necessary
production outputs, purchasing and thorough investigation of stock-take variances. Liaise with suppliers