principles, including trial balance and bank reconciliation. Experience with VAT filing ... knowledge of trial balance and bank reconciliation processes.Experience with VAT ...
Handles daily accounting transactions.Timely publication of financial statements.Reconciliation of all accounts payable and receivable.Ensure timely payment of bank, bills, and utilities.Manage
dishonours and amounts debited by bank but not accounted by us ... end submissions in relation to bank reconciliation statements are carried outIdentifying ...
-Prepare and maintain financial records for the hotel and reconcile bank statements and ensure the accuracy of financial data.-Prepare monthly, quarterly, and annual financial reports.-Assist in
Company DescriptionQwatt pioneers urban power bank sharing, offering short-term rental services for portable powerbanks. Established in 2023, we've been leaders in the battery rental industry.Our
Recording of invoicesChecking bank statements monthly and recording bank transactionsChecking intercompany balance regularlyRecording of petty cash transactionsRecording of personnel-related
reporting.Check and reconcile all bank accounts daily, report all receipts ... shipments and prepare month end bank reconciliation statements.Handle office petty ...