




Job Summary: Assist with bank and accounting reconciliations, journal entries, and preparation of trial balances and financial statements. Key Highlights: 1. Focus on bank and accounting reconciliation 2. Support in preparing trial balances and financial statements 3. Requires organization, Excel proficiency, and familiarity with ERP systems Bank and Accounting Reconciliation. Journal Entries. Assistance in preparing trial balances and financial statements. Essential Skills: Organization, Excel knowledge, familiarity with accounting software (ERP), attention to detail, and proactivity.


