Type, organize, and format financial statements from submitted soft copy and hard copy documents in accordance with the Firm policy, guidelines, and financial statement format.
Print and compile necessary copies of the financial statements for review and distribution.
Review and implement corrections suggested by the account in-charge and audit partner, ensuring all adjustments are accurately reflected.
Maintain confidentiality and accuracy in handling clients financial data.
Qualifications:
A bachelor's degree in any field is required.
Must be willing to work fully onsite.
Must be okay with project-based position (6 months).
Must be knowledgeable in Microsoft Office 365 especially MS Excel and MS Word.