Monthly Reconciliation bank, vendors,etc.
Post all the payment made to vendors, foreign and local.
Post all the expenses paid through bank accounts, debit card and credit card. Prepare monthly sales commission report
Prepare bank deposits
Enter financial transactions into internal databases
Check spreadsheets for accuracy
Maintain digital and physical financial records
Monthly Reconciliation bank, vendors,etc.
Post all the payment made to vendors, foreign and local.
Post all the expenses paid through bank accounts, debit card and credit card. Prepare monthly sales commission report
Prepare bank deposits
Enter financial transactions into internal databases
Check spreadsheets for accuracy
Maintain digital and physical financial records
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