Responsible for reconciliation and adjustment of various general ledger accounts. Prepares related financial reports and statements.
Compiles, consolidates, and conducts basic analysis of accounting and finance information.
Assists with the production of monthly and annual financial statements and reports.
Makes accounting adjustments through appropriate journal entries.
Assists with monthly and annual account reconciliations and close activities.
Examines a variety of financial statements and transactions for completeness, internal accuracy, and conformance with accounting standards.
Prepares tables, charts, and other exhibits for reports.
May perform less complex accounting projects or participate as a team member on more complex projects.当前职位已下线
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