Create charts of accounts
Entry of transactions with description and records
Financial statements preparation
Reconciliation with bank accounts
Reconciliation with key accounts receivable
Reconciliation with key accounts payable
Coordinate with auditor
Follow up with clients for receivable collection
Create charts of accounts
Entry of transactions with description and records
Financial statements preparation
Reconciliation with bank accounts
Reconciliation with key accounts receivable
Reconciliation with key accounts payable
Coordinate with auditor
Follow up with clients for receivable collection