Accounting technician
QuebecRandstad
...(preparing entries, basic analyses, documentation, etc.)• Perform daily bank reconciliations• Match, verify, and record supplier invoices in the accounting systems of the various companies• Maintain and update the accounts payable ledger• Prepare and document accrual entries at the end of the month and at the end of the [...]
Category Banking, Insurance, Finance & Accountancy / Sector Accounting, Finance and Management Control