Hi Platinum,
I have some technical questions:
If we found out that some transactions shoing on the bank
statement, but does not exist in our system ( like some fees, expenses), what
should we do??
If the transactions are missing in bank statement, but we do
have them in our system, what should we do? ( just untick it, and reconcile?) –
If the dispute transactions can not be solved on te first day,
is there anything we can do in the system?? ( like move all of them to one
temporary account?)
Hope the above all make sense.
Thanks
Renee
There are many different division within this company and within the finance teams – financial accounting, management accounting, capital accounting, analytics etc. Which area excites you most and why?
Choosing a division of my interest and answering is not a problem. But I would be grateful if you could suggest me something specific that an employer would like to hear in the answer. What should I focus on more?
Thanks in advance.
Sid