Description |
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Company Offshore accounting experience preferable.
Record daily / monthly revenues and expenses with JVs
Prepare and review payroll entries
Prepare consolidated balance sheet, P&L and Trial Balance.
Prepare Financial, Fiscal (Tax, NSSF) Declaration.
Knowledge of issuing LC and LG with a full cycle implementation, by bank follow up, Doc presentation, payment procedure and closing procedure.
Interacting with customers, senior-level executives, and all other levels of employees. |