-Pull the data coming out of the company's operating system. Check the information in the Statement received from the Finance Department to match the data in the system and perform the reconciliation. -Fill out the form and specify a number for all banks, according to the head of the accounting department, amount sent, -Monitoring data to identify the Bank of Chao kana in accounting and Finance Department. When the numbers are misleading. Edit the data so as to meet the actual amount. -Coordinate with the finance officer Customer contact personnel to verify the information. For more information. -Financial accounting and other work related
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