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1. Made finance report, journal, balance sheet loss profit and other accounting task related.
2. Prepare report balance sheet / profit lost.
3. Post transactions and categorize records in the general ledger (e.g. by assets, liabilities and expenses).
4. Reconcile bank statements.
6. Analyze transactions with internal and external stakeholders.
7. Conduct month-end and year-end closures.
8. Reviewing financial records in accordance with established procedures and preparing data for external audit purposes.
Cengkareng,Rawa Buaya,Indonesia
Cengkareng,Rawa Buaya,Indonesia
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