Financial Accountant
Current- Recording and reconciling Cash & Bank transactions- Preparation, recording and reconciling export invoices and customs documents, and sales invoices.- Recording daily incoming invoices (purchasing, expenses and others).- Performing monthly reconciliations with customers, vendors, and other A/P and A/R (BA and BS formları).- Preparation of payrolls and recording and reconciling personnel expenses.- Preparation of monthly trail balance, month-end and year-end closing accounts.- Preparation of quarterly and annual financial statements (Income statement and statement of financial position)