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General Accounting / Fixed Assets / Bank Reconciliation / Reconciliation / Inter Company / Reporting
1. Prepare and post monthly journals
2.Month end close activities within timeline
3.Perform Account Reconciliations as per procedure
4.Master Data Maintenance (GL, FA, etc.)
5.Process periodic/ adhoc report request from Customers
6.Query handling for Customers
7.Perform quality check to prevent errors
8.Follow and Maintain Standard Operating Procedure (SOP)
9. Adherence to Control and Compliance
10 .Ensure MEC/Activity Check List are tracked and maintained