Compilation and Adjustments to Financial Statements for corporate reporting.Trial Balance analysis and adjustments to the Trial Balance.Record foreign exchange currency transactions based on FAS 52.Responsible for the preparation the Sales and Use Tax Report.Managed the Build-up of store’s Capital and Fixed Assets maintenance and amortization to the General Ledger.Intercompany accounts reconciliations.Bank accounts reconciliations of Concentration, Disbursements, Cash, and Credit Cards Accounts
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