An exciting opportunity has become available within an Outsourced Accounting Services firm, for a Financial data to support project initiatives Accounting XERO bank reconciliations Accounting degree or equivalent
payment discrepancies. Reconciliations: Reconciling bank statements with company accounts to ensure accuracy Verifying and resolving any differences between bank statements and company records. Monthly Closings
process invoices, receipts, payments, and bank deposits. Reconcile bank statements and manage cash flow. Assist
reconciliations and submission on e-filing Processing of bank statements Drafting of financial statements Review