industries. The Staff Accountant will be responsible for preparing journal entries, bank reconciliations, fixed asset... and supporting documentation. Assist with fixed asset accounting and maintenance. Support bank reconciliation processes. Perform...
, depreciation, and intercompany transactions Maintain accurate general ledger accounts Reconcile: Cash and bank accounts...
Lugar:
México | 26/09/2026 17:09:24 PM | Salario: S/. No Especificado | Empresa:
Pavago organisations including GPE, the World Bank, UNICEF, and the IDB are actively investing in proven numeracy solutions through new... conventional education procurement: non-traditional public-private partnerships, multilateral grants, central bank financial...
and complete month-end close. Reconcile bank accounts, general ledger, and balance sheet accounts. Record journal entries...
Lugar:
México | 26/09/2026 17:09:38 PM | Salario: S/. No Especificado | Empresa:
Novo liabilities, and payroll-related bank transactions. Record benefits, deductions, taxes, garnishments, and employer contributions...
Lugar:
México | 26/09/2026 17:09:28 PM | Salario: S/. No Especificado | Empresa:
Pavago account terms, fee structures, and service agreements Serve as the primary point of contact for bank compliance and KYC/AML...
with step-by-step guides and training videos, and the role has a proven growth path into cash receipts posting, bank... revenue dashboards Experience growing from billing into cash receipts posting, bank reconciliations, or sales analysis...
Lugar:
México | 26/09/2026 17:09:25 PM | Salario: S/. No Especificado | Empresa:
Pearl Prepare audit schedules, reconciliations, and supporting documentation. Gather invoices, contracts, bank records, journal... on outstanding items. Reconciliations & Financial Verification Perform bank, accounts payable, accounts receivable, and general...
Lugar:
México | 26/09/2026 17:09:40 PM | Salario: S/. No Especificado | Empresa:
Pavago transaction listings with supporting documents Assist with basic bank and account reconciliations by preparing supporting...
and input them into the firm's timekeeping platform. Support billing inquiries, coordinate with the bank on transfers...