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Job Description
- Must have oversight of monthly close, reviewing journal entries and reconciliation
- Ensuring all accounting transaction are performed correctly on time
- Regularly examine financial statements and Confirm transaction are made accurately and entered in all accounting sheets
- Ensure all invoice and reconciled and payments made
- Reconcile financial transaction every month
- Validate and reconcile inventory and fixed asset accounts
- Organize and update financial records; monitor all bookkeeping
- Analyze accounts and suggest improvements to reduce costs and increase profits
- Prepare, manage and present monthly reports to the management director
Job Requirements
- Bachelor’s degree in accounting or finance
- Must write and speak English
- Accounting, Research Skills, Analyzing Information
- Attention to detail
- Deadline-Oriented
- Confidentiality
- Corporate Finance
- Experienced with QuickBooks
- Ability to identify issues and take initiative for process improvement and problem resolution