Job Description
- Assist in accounting tasks, such as payment reconciliation and transaction recording.
- Identify and correct discrepancies in financial data and reports.
- Utilize Excel functions (e.g., VLOOKUP, pivot tables, and formulas) for financial analysis and reconciliation.
- Maintain and update financial records in Excel and Google Sheets.
- Support the finance team in reporting, compliance, and documentation.
- Process and manage financial transactions and payments accurately and efficiently.
- Ensure all financial data is accurate, organized, and up to date.
Roles and Responsibilities
- Assist in accounting tasks, such as payment reconciliation and transaction recording.
- Identify and correct discrepancies in financial data and reports.
- Utilize Excel functions (e.g., VLOOKUP, pivot tables, and formulas) for financial analysis and reconciliation.
- Maintain and update financia...
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