Added
7 days ago
Type
Full time
Salary
Salary not provided

Related skills

netsuite excel google workspace erp bank reconciliation
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📋 Description

  • Manage data and provide administrative support to the Finance team.
  • Handle Accounts Payable functions, including invoice verification and payment processing.
  • Execute bank reconciliations and daily cafe sales reconciliations.
  • Conduct inventory reconciliations and stock variance analysis.
  • Maintain fixed asset records and monitor asset movements.
  • Support month-end closing and financial reporting activities.
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