reconciliations to ensure that entries have been posted correctly, all assets have been loaded correctly verify and post account transactions Manage the petty cash and credit cards Prepare and post monthly journals reconciliations to ensure that entries have been posted correctly, all assets have been loaded correctly verify and post account transactions Manage the petty cash and credit cards Prepare and post monthly journals
meet deadlines Manage the post process with staff to ensure that all post received on behalf of clients meet deadlines Manage the post process with staff to ensure that all post received on behalf of clients meet deadlines Manage the post process with staff to ensure that all post received on behalf of clients