and assist with exit documentation.
anticipate in getting the queries resolved
Assist when accounts are over credit limits to get authorization
balance sheet reconciliations
balance sheet reconciliations
balance sheet reconciliations
Maintain accurate cost allocations. Assist with monthly management accounts. Responsible for all tax audits
assigned accounts by enforcing terms. Assist clients to reconcile accounts and resolve client disputes. Qualification
Preparing tax returns. Assisting with audit preparations and performing other accounting duties as assigned
Key Responsibilities:
journals. Corporate Budgets and Forecasts. Assist junior accountants (training). Variance reporting and analysis