Accounting Assistant
Cunupia or Caroni, Central
Undisclosed
Full time, Permanent Full Time
Posted On 03.18.2025
Employer
Description

Seafood Enterprises
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Overview
Tags
Administrative-Clerical : Administrative Support, Data Entry-Order Processing, Executive Support, Filing-Records Management
Job Requirements
- Daily reconciliations of all bank accounts (TTD & USD), ensuring that all transactions are accurately recorded, accounted for, and that any discrepancies are investigated and resolved in a timely manner
- Monthly reconciliation of Credit Card accounts, entry of journals
- Verification of daily sales reports from retail outlets and head office sales.
- Daily reconciliation of excel database to point of sales
- Tracking and recording all incoming payments from customers
- Following up on unpaid invoices and late payments
- Communicating with customers to resolve payment issues and answering inquiries
- Monitor receivables, identifying overdue customer balances for further action
- Perform quarterly supplier reconciliation and resolve any discrepancies that may arise
- Perform periodic stock count and spot checks at all locations
- Investigate count variances in a timely manner and promptly report finding to the Accountant/Inventory Control Coordinator
- Monthly SL to GL reconciliations ensuring all entries are accurately captured
- Preparation and filing of Vat Returns bi-monthly
- Assist with year-end stock counts on both frozen and dry goods for Head Office, Retail Outlets, Vans.
- Monthly reconciliation Goods in Transit and Advance Payments accounts
- Carry out fixed asset verification exercises at Head Office and the Store Locations
- Assist in the monthly and annual closing process
- Maintenance of the Shipments Log
- Maintenance of the FX payments log
- Any ad hoc reporting as required
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