Numerical & Quantitative Analysis × Required Skills: Accounting Software Operation

33 matching jobs found.

Paymaster

A specialist role in public institutions responsible for financial tasks such as budget formulation, execution management, and accounting processing, supporting the organization's fund operations.

Disbursement and Bookkeeping Clerk

A job that handles daily accounting tasks such as cash disbursement and voucher entry.

Tax Accounting Consultant (Certified Tax Accountant)

A specialist who holds a certified tax accountant qualification and provides advice and filing services on taxation and accounting for corporations and individuals, as well as tax planning.

Tax Accounting Clerk (Certified Public Accountant Offices, Tax Accountant Offices)

A job in Certified Public Accountant or Tax Accountant offices handling tax and accounting tasks for companies and individuals. Involves bookkeeping, tax return preparation, tax consultations, etc.

Tax Clerk

An administrative role responsible for a company's or organization's tax affairs, assisting with the preparation of tax returns, tax payment procedures, and compliance with tax laws.

Tax Guidance Staff (Blue Return Association)

A profession affiliated with the Blue Return Association, providing guidance and advice on bookkeeping and tax declarations utilizing the blue return system for sole proprietors and small businesses.

Tax Accountant Assistant

A job that handles general accounting tasks, such as ledger creation and assistance in preparing tax declaration forms, under the instructions of a tax accountant.

Collection Clerk

A clerical position responsible for accounts receivable collection tasks, from invoicing to payment management and dunning of overdue payments, in companies, local governments, etc.

Electricity Bill Collection Clerk

A clerical position at power companies or related organizations that handles issuing electricity bills, collecting payments, and managing deposits.

Ledger Clerk (Wholesale Store)

A job in wholesale stores that posts journal entry vouchers to the general ledger and supports monthly closings and trial balance preparation.