Reconciliation Accountant
Air Liquide
Total years of experience :8 years, 5 Months
Responsible for preparing bank reconciliation statements on a monthly basis which
includes Reviewing bank accounts, checks balances against ledger amounts and verifying
that the amounts match with the financial statement like asset, liability, expenses and
revenues manually and using
Demonstrated sharp analytical abilities toward performing accounts analysis and along
with facilitating accurate invoice processing using
Issued client certificates
* Checking account balances
* Sending the certificates to their correspondent branch
ElMenus
Translating data, and using the data base to enter it into the system
* Creating a marketing strategy
* Managing time, and workload appropriately
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