Reconcile the accounts payable ledger to ensure that all bills and payments are accounted for and properly posted.Perform day to day financial transac..
Reconcile the accounts payable ledger to ensure that all bills and payments are accounted for and properly posted.
Perform day to day financial transactions, including verifying, classifying, and recording accounts payable data.
Monitoring incoming bills and submit to finance.
Filling all documents, and coordinating with related divisions regarding document completeness.