, Accounts Payable, Accounts Receivable and Bank; Payroll processing in time as ... recording in Fixed Asset Register. Bank reconciliations, Reconciliations of General Ledger ...
monthly accurate reports related to bank reconciliation, financial service provider reconciliation ... spot-check on cash flow, bank accounts, donor fundings, Fixed assets ...
Job Description: Oversee all accounting functions, transactions, and monthly Profit and Loss reporting. Conduct monthly bank reconciliations, monitor cash handling, and coordinate with auditors.Serve