Responsible for planning, supervising and coordinating all the general ledger transactions, bank reconciliations, and positions of liquidity of finances in the facility and ensuring that all transactions are appropriately classified and all accounts are prepared in the correct manner in adherence with accounting rules and other applicable laws in consultation with the Manager and in conformance to the internal controls. Also responsible for ensuring the efficiency of monthly closing, preparation of monthly trial balance, analyzing and recommending any change to work systems to ensure efficiency and control.
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