Accounting Officer x2
Karachi, Pakistan
2d ago
  • Posting GL entries on daily basis
  • Reconciling all bank accounts on daily basis
  • Preparation of daily bank position / reconciliation
  • Bills / Invoices received are to be posted in GL on daily basis
  • All data related to GL function to be placed in digital content management
  • Ensuring timely resolution of queries (un-posted transactions) so that they are recorded in timely manner
  • Maintaining transaction log for all GL related activities
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