Office Support Emplois
- – Maintain accurate financial records using QuickBooks and Sage 300.
- – Process accounts payable and receivable, ensuring timely and accurate billing.
- – Perform bank reconciliations and prepare financial documentation for reporting.
- Gérer la clôture financière pour garantir exactitude et conformité
- Collaborer avec les équipes pour optimiser les processus financiers
- Analyser les résultats financiers pour soutenir la prise de décision
- – Supervise daily accounts payable and receivable workflows, ensuring accuracy.
- – Prepare and post journal entries, supporting schedules, and month-end close entries.
- – Oversee bank reconciliations, investigate variances, and maintain organized records.