Job Description
Prepare and review bank reconciliations regularly
Develop and maintain strong relationships with banks for day-to-day banking matters
Assist in import and export documentation, coordinating with banks for smooth transactions
Perform other accounting and financial tasks as requiredPrepare and review bank reconciliations regularly
Develop and maintain strong relationships with banks for day-to-day banking matters
Assist in import and export documentation, coordinating with banks for smooth transactions
Perform other accounting and financial tasks as required