including accounting for month-end entries, balance sheet reconciliations, and the preparation of management
balance will assume responsibility for balance sheet recons, processing bank statements, inter-company
balance will assume responsibility for balance sheet recons, processing bank statements, intercompany
preparation of annual financial statements (AFS) balance sheet, income statement, profit and loss statement and
preparation of annual financial statements (AFS) balance sheet, income statement, profit and loss statement and
Reconciliation and Analysis: Complete balance sheet reconciliations and management accounts. Tax and
as: Financial Management Prepare monthly balance sheet recons Assist with preparing annual budgets Assist
investigations, payroll, cash flow, and balance sheet reconciliations. Ensuring accurate financial closures