Review transactions processed and journal entries posted in books Review bank reconciliation, accounting schedules and other related details Review general and subsidiary ledgers and completeness and accuracy of all entries and prepare the books for monthly
Process transactions and prepare journal entries Maintain general ledger and reconcile with subsidiary ledgers Prepare bank reconciliation, accounting schedules and other related details Assist in filing the returns and submitting summary/Alpha Lists Assist in preparing the
Assist with processing off-cycle payroll runs. Assist in the processing of payroll of expatriates and preparing the related payroll reports and debit memo to Japan for the funding. Assist in the computation and processing of last
Prepare journal entries and perform monthly closing of accounts Analyze account balances (booked in the correct month, accuracy of balances etc.) Prepare monthly financial statements and account details, and gather support documents Resolve issues with respect
About the Job Prepare journal entries and perform monthly closing of accounts Analyze account balances (booked in the correct month, accuracy of balances etc.) Prepare monthly financial statements and account details, and gather support documents Resolve
About the Job Process transactions and prepare journal entries Maintain general ledger and reconcile with subsidiary ledgers Prepare bank reconciliation, accounting schedules and other related details Assist in filing the returns and submitting summary/Alpha Lists Assist
About the Job Review transactions processed and journal entries posted in books Review bank reconciliation, accounting schedules and other related details Review general and subsidiary ledgers and completeness and accuracy of all entries and prepare the