Perform day to reconciliation of financial transactions, including verifying, classifying and recording accounts payable data.
Periodically reconcile expenses ledger and receipts posted.
Investigate discrepancies if any on budget and statements.
Ensure payments and expenditures are in compliance with financial policies and guidelines.
Assist in processing all tax / audit related matters.
Generate financial reports as required by management or line manager.
Report this job
Thank you for reporting this job!
Your feedback will help us improve the quality of our services.
Add to favorites
You need to be logged into your account to add this job to your favorites. Click "Continue" to log in or create a new account. You will then be able to access your favorites from our website or from the neuvoo mobile app.