Reconcil general and branch bank accounts by collecting information and achieving balance between them | Accomplishes the task of accounting and organization by completing related results as needed |
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Prepare and maintain important financial reports | Utilize database management systems to keep up-to-date financial records keeping |
Provides information on the financial situation by preparing special reports.
4Conducting or assisting in fixed asset audits | Maintains subsidiary financial records by analyzing balance sheets and general ledger accounts |
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Review data to ensure proper procedures are followed |
High power level and strong attention to detail | |
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