Manage and handle all accounting operations within the sub contractor company, verify financial records and transactions through the proper implementation of accounting processes to ensure the integrity of accounting information by recording, verifying, consolidating, and entering transactions.
and conformance to reporting and procedural standards.
accordingly.
weekly and monthly basis – for clients, sister company, vendor and bank reconciliations and manage unresolved issues and discrepancies.
by financial auditors.
them on accounting inquiries.
اطلب مساعدة الخبراء لكتابة سيرة ذاتية مميزة.