Description: To manage trade receivables and client account enquiries Data entry and maintaining accurate accounting records Capturing and reconciliation of intercompany transactions Assist with financial reporting and budgeting (Power BI) Verification on ...
22 hours ago
Description: To manage trade receivables and client account enquiries Data entry and maintaining accurate accounting records Capturing and reconciliation of intercompany transactions Assist with financial reporting and budgeting (Power BI) Verification on ...
22 hours ago