أنشئ حسابًا أو سجّل الدخول للانضمام إلى مجتمعك المهني.
Record daily operational financial transactions,
Reconciliation of accounting system modules/subsidiary ledgers,
Record monthly journal entries / Provisions
Review of Revenue & Expense Accounts
Reconciliation of Balance Sheet Accounts
Prepare Financial Statements
Management review
Close accounting systems for the month