To post journal entries, updating financial statements, maintaining accounts receivable and accounts invoice payments and cash book processing; Monthly bank reconciliations; Monthly supplier reconciliations;
accurate Billing reporting timeously; Maintain a high level of quality and accuracy; Assisting with internal required; Strong commitment to delivering the highest level of customer service.
accurate Billing reporting timeously; Maintain a high level of quality and accuracy; Assisting with internal required; Strong commitment to delivering the highest level of customer service.