-settlement report for partners daily
- Prepare monthly accounts' reconciliations
- Work on the preparation for new projects
- Carry out a random weekly checking on the accuracy and completeness of daily journal vouchers
- Perform preparatory control steps for the daily commission process
- Communicate with the I.T. Dept. for system irregularities, functionality failure, or requests for upgrade & performance enhancement
- Assist in analyzing financial statements and report of variances
- Report to the Manager
-Account reconciliation
-Agent settlement report
I am very much acquainted with the case mentioned. A format will be designed to settle the dispute for the partners. I will prepare a monthly accounts reconciliation statement describing major discrepancies in the accounts. The new project preparation will follow project initiation stage to completion stage. Based daily transactions selection journal vouchers randomly will be verified with accuracy and completeness. Commission calculation will be checked sample basis. Financial Statement analysis will follow the requirement of the client. The other process will follow the requirements
Hello:
Take the work of an expert currently at Ernst & Young (one of the big four chartered accountant firms) dealing routinely with different financial statements.
Give and just get it done
Waiting to hear from you
The project is highly interesting yet it needs speed and serious quality analysis which i can provide you.
Speed, Quality and Responsibility is all i have got along with higher education as a plus package.
I believe on the:
" THINK DONE WITH EFFICIENCY" approach.
Am MBA.
I hope to look forwards towards our good business relations.
Regards,