Opportunity Description
- Perform monthly accounting reconciliations.
- Investigate and resolve reconciling items to ensure accurate records.
- Complete month-end and year-end close activities within deadlines.
- Process journal entries accurately and on time.
- Capture, reconcile, and clear daily bank transactions.
- Monitor and follow up on daily automated collections.
- Log and resolve queries in line with service level agreements (SLAs).
- Collaborate with internal and external stakeholders to ensure accurate data.
- Consistently deliver high-quality work under pressure and tight deadlines.
- Perform monthly accounting reconciliations.
- Investigate and resolve reconciling items to ensure accurate records.
- Complete month-end and year-end close activities within deadlines.
- Process journal entries accurately and on time.
- Capture, reconcile, and clear dai...
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