Reconcile various bank accounts by compiling and balancing financial information
Maintains accounting records of subsidiary branches using balance sheet analysis and general ledger accounts
Helps secure sensitive financial data by assisting other team members with database creation and maintenance
Corrects accounting errors and posts journal entry adjustments
Prepares fixed asset depreciation and accruals
Determines the financial status and health of various organizations and businesses
Updates and maintains general ledger accounts by keeping close track of accounts receivable details and control accounts
Expands knowledge base by participating in educational programs and reading accounting publications
Completes other accounting tasks as needed
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