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- Maintain accurate records of all financial transactions, including sales, expenses, and purchases.
- Record and categorize transactions in accounting software or ledger books.
- Reconcile bank statements with internal financial records.
- Resolve discrepancies between bank balances and company records.
- Maintain accurate records of all financial transactions, including sales, expenses, and purchases.
- Record and categorize transactions in accounting software or ledger books.
- Reconcile bank statements with internal financial records.
- Resolve discrepancies between bank balances and company records.