Prepare journal entries with appropriate support documentation.
Reconciles AP to general ledgers and review of all invoices for payment.
Prepare any other ad-hoc reports/schedules as required by the Reporting or Accounting Manager.
Assist…
Prepare journal entries with appropriate support documentation. Reconciles AP to general ledgers and review of all invoices for payment. Prepare any other ad-hoc reports/schedules as required by the Reporting or Accounting Manager. Assis…