Accounting generalist (full time)
EdmontonAccor
...vendor/supplier database, reconciling vendor statements monthly, resolving discrepancies directly with vendors, and maintaining complete and current vendor files. Reconciling daily cash submissions from hotel departments, consolidating and preparing daily bank deposits, maintaining daily cash over/short logs, and preparing [...]
Job Type: Full-time
Category Banking, Insurance, Finance & Accountancy / Sector Accounting, Finance and Management Control