Job Description (JD) Maintain accurate accounting records, ledgers, and journals on a regular basis. Process payments, invoices, receipts, and expense vouchers in a timely manner. Reconcile accounts, including bank statements, and resolve discrepancies. Prepare periodic financial reports
Job Description (JD) Maintain accurate accounting records, ledgers, and journals on a regular basis. Process payments, invoices, receipts, and expense vouchers in a timely manner. Reconcile accounts, including bank statements, and resolve discrepancies. Prepare periodic financial reports