During my experience, I have been responsible for the following key duties:
Preparing and posting journal entries for daily financial transactions.
Reconciling supplier statements and resolving payment discrepancies.
Assisting in month-end closing activities and financial reporting support.
Maintaining proper documentation and filing of accounting records.
Supporting bank reconciliation and ensuring accurate cash records.
I am familiar with basic accounting principles such as assets, liabilities, and equity, and I understand the importance of accuracy in financial reporting. I am also eager to continue improving my skills in accounting software and financial management systems.