assets management, accounts payable and receivable, journal entries, and more. This role requires strong analytical processing, and reconciliation. Prepare and post journal entries for month-end and year-end close. Assist
balance sheet items - Keep accurate records of all journals passed - Prepare monthly management accounts - Reconciling of inter-company loan accounts Initiating journal entries Maintenance of trial balance Updating and
to work independently and as part of a team. Internship or co-op experience in a manufacturing environment
hybrid basis. Duties and Responsibilities: Review journal entries Intercompany reconciliations Manage the
hybrid basis. Duties and Responsibilities: Review journal entries Intercompany reconciliations Manage the
monthly recon to supplier statements Month end journals and closing of monthly accounting All tax related
Financial Manager, which includes: Invoice checking. Journal processing. Gross margin preparation. Financial
accordingly.
strategy