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Job Description
- Record daily financial activities affecting merchant accounts
- Reconcile merchant accounts with core operational systems.
- Record daily inventory consumption for various product types.
- Reconcile escrow and suspense accounts related to retail cycle financial closing.
- Investigate differences with related departments.
- Record adjusting entries.
- Contribute in monthly financial closing process.
Job Requirements
- Bsc degree in accounting/finance (preferred English section)
- 2-4 years of experience in retail field in corporate environment.
- Details Oriented
- Eager to learn
- Experience on ERP system (Axapta /Oracle/ SAP) would be advantage
- MS Excel professional user.