Job Description
Job Description
Accurately input and update financial data into accounting software and databases. - Maintain and organize digital and physical client records, ensuring confidentiality and compliance. - Verify data accuracy by cross-checking source documents such as invoices, receipts, and bank statements. - Assist in preparing monthly financial reports, trial balances, and ledger entries under supervision. - Collaborate with senior accountants and administrative staff to meet deadlines and support team goals.