- Support in recording journal entries and posting to ledgers.
- Help with invoice processing, payment entries and inter unit reconciliations.
- Assist in reconciling bank statements with internal records.
- Generate basic reports from the accounting system or excel.
- Compile data for P&L, balance sheet, and expense analysis.
- Use Excel for data cleanup, basic financial analysis, or reporting templates.
- Observe and learn company accounting practices, policies, and ERP usage.
- Participate in training sessions or process briefings conducted by the team.
Requirements
- Foundational knowledge of accounting and finance principles
- Eager to apply academic learning in a real-world finance department.
- Proficient in MS Excel and familiar with basic accounting tools.
- Seeking hands-on experience in financial reporting, data entry, and day-to-day accounting operations.
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