Seeking qualified and experience applicants for the role
Manage manual cash transfers, internal and external.
Primarily responsible for the posting of source entries to the ERP application. Analyzing the P&L and balance sheet accounts. Reconciliation of intercompany accounts. Preparation and posting of journals as required
The Teller accurately processes and balances all customer deposit transactions assigned throughout the shift in a manner that is consistent with the objectives, policies and procedures of the Company.
Accountant (Montego Bay)