- Prepare and maintain accurate financial records, ensuring timely and compliant reporting to support management decision-making.
- Assist in the preparation of monthly, quarterly, and annual financial statements by compiling data from various sources and verifying accuracy.
- Conduct reconciliations of bank statements and general ledger accounts to identify discrepancies and ensure financial integrity.
- Support the accounts payable and receivable processes by verifying invoices, processing payments, and tracking outstanding balances.
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