Accounting Officer

3 months ago


Mississauga, Canada Panasonic Avionics Corporation Full time
Posts customer remittances and/or intercompany payments, effectively clearing accounts receivable.

Balances and allocates charges to proper G/L accounts. If required, prepares and electronically transmits the daily bank deposit or brings specific deposits to the Bank Branch on rare occasions. Reconciles daily to ensure funds received balance with funds posted from each payment source in the absence of the Corp Credit Coordinator and assists the Assistant Manager, Credit, Corporate Credit Manager with any other duties assigned.

This is a full-time position.


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