Do the bank reconciliations for all bank accounts.
- Daily enter key data of financial transactions in the books and accurately prepare and maintain accounting documents and records.
- Preparation of all necessary supporting documents for the preparation of monthly financial statements.
- Validate the accuracy and validity of CMR and DMR monthly.
- Check the accuracy of the monthly invoice release to lessen versus the final billing sent by each property.
- Make Necessary year-end-back up files
Qualifications:
- Degree in BS Accountancy
- Certified Public Accountant(CPA)
- NO working experience/fresh graduates are priority for the role
Summary of role requirements:
Looking for candidates available to work:
Monday: Morning
Tuesday: Morning
Wednesday: Morning
Thursday: Morning
Friday: Morning
Saturday: Morning
Sunday: Morning
No experience required for this role
Working rights required for this role
Expected salary: 30,000 per month
Full time