Prepare supporting documentation for audits related to revenue, accounts receivable and production.
Provide reconciliations and financial backup for client and external audit.
Address queries timely and accurately related to billing, revenue and compliance with the company's financial policies.
Prepare supporting documentation for audits related to revenue, accounts receivable and production.
Provide reconciliations and financial backup for client and external audit.
Address queries timely and accurately related to billing, revenue and compliance with the company's financial policies.