AM Finance - eZhire - Karachi
We are looking for an AM Finance!
Location: KarachiEducation: ACCA (should be completed)
Experience: 2+ years of software/IT industry
Responsibilities:
Liaison with overseas vendors regarding reconciliations and payment issues.
Supplier/ Customer reconciliations and other related daily reconciliations.
Work with other departments to ensure reconciling items are cleared timely and elevating stale outstanding reconciling items to appropriate parties.
Weekly and monthly general ledger reconciliations related to all aspects of the bank, including due to accounts.
To establish a report on reconciliation stating reasons for differences.
·Daily journal entries for various accounts, as needed.
Ensuring prepaid assets and accruals are properly posted.
Monitoring internal demand deposit accounts to ensure they are fully funded and reconciled.
Supporting the month-end closing process for the Bank which includes calculating and/or posting various journal entries.
Maintain proper documentation of all journal entries and reconciliations and ensure reconciliations are reviewed by a supervisor.
Other duties as assigned by the RA.
Interested candidates can send their resume at hr@ezhire.life