Opportunity Description
Objective
To reconcile selected accounts to ensure balances are accurate, complete, and supported by clear documentation, and to identify items requiring correction or follow-up.
Scope of Work
The work covers reconciliations of general ledger, sub-ledger, bank, and other relevant accounts as agreed with management.
Specific accounts and periods will be confirmed for each phase and may change over time.
Key Activities and Deliverables
- Gather account balances, bank statements, and supporting documents.
- Compare ledgers, sub-ledgers, bank records, and other source documents; identify and explain discrepancies.
- Propose adjustment entries or follow-up actions where necessary.
- Prepare reconciliation schedules and concise written updates on progress, issues, and recommendations for management.
- Submit final reconciliations along with a summary of outstanding items and agreed next steps for ...
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