Posted and processed journal entries to ensure all business transactions were accurately recorded, resulting in improved financial record-keeping. • Updated accounts receivable and issued invoices in a timely and accurate manner, resulting in an increase in on-time payments. • Maintained accounts payable and performed reconciliations, resulting in improved vendor relationships. • Assisted in month-end and year-end closing processes, ensuring timely and accurate financial reporting. • Managed petty cash and performed monthly reconciliations, resulting in accurate accounting.
اسم المستقل | نزيهة س. |
عدد الإعجابات | 0 |
عدد المشاهدات | 6 |
تاريخ الإضافة |