Accounts payable, sector, 2 days office | dublin, ie
DublinAccountancy Solutions
...incomplete or inaccurate • Set up of new supplier accounts including verification of bank details • Reconciliation of supplier statements • Posting ad hoc payments to our financial system, Integra • Dealing with queries from suppliers • Bank Reconciliations and petty cash • Preparation of month end accruals. • [...]
Category Banking, Insurance, Finance & Accountancy