I'm looking for high-quality references which are relevant to the topic and the recommendations to cross that comments. my project about ''...high-quality references which are relevant to the topic and the recommendations to cross that comments. my project about '' Dispute settlement in the GCC and the role of Kuwait in reconciliation and mediation ''
1. Android and IOS app required for patient and consultant 2. Web application required for consultant and patient [login to view URL] sh...clip saved on server 5. Doctor can upload prescriptions 6. Appointment system required with payment gateway 7. HIS integration 8. Payment gateway account and finance data reconciliation 9. marketing Advertising push facility
I have a requirement to integrate a payment gateway of a local bank with my website. The payment gateway does not have a plugin but only integration guide which has code snippets for Hosted Payment Integration (Purchase, PreAuth, Inquiry) and Merchant Hosted Payment Integration (Purchase, PreAuth). Looking for someone who has previous experience creating
...that will help me to reconcile the bank account every month. INPUT: - bank statement in excel format - account statement in excel format - date range Process - identify all transactions on the bank statement that show up on the account statement Output - if transaction amounts match, mark them as green on the bank statement report - if transaction
I need some help with finding an accountant or bookkeeper with Spanish and Engli...for a marketing company for one fiscal year with possibilities to continue with others fiscal years. Recording on Quickbooks will be done based on bank statements and credit cards. Monthly bank reconciliation is a must and there is no need to keep track of A/P and A/R.
I currently work for TD Retail Card Service, a division for TD Bank and I've like to learn more about TD Bank and not just their umbrella company. Looking to see a SWOT analysis of their potential opportunities, strenghts, weaknesses and threats of the company. Also currently interning at another department and would like to expand my knowledge in
...for smart, intelligent and talented professionals for its Ahmedabad office. Principal Accountabilities: 1. Reconcile bank and credit card accounts for multiple clients 2. Conduct weekly/monthly reconciliation of all bank accounts 3. Accounts payables/receivables management 4. Report & produce financial statements on a regular basis 5. Liaison
I need the pdf file of an existing Bank of America statement to be converted into a WORKING TEMPLATE where ALL of the data in the tables can be changed, removed or added while keeping the same format. Hence, I need to keep the identical Graphics, Format and Template of this statement; however, I want to be able to change the figures and data. I will
A mobile responsive, full stack solution that enables fundraising, payments, distribution and reconciliation. We have full requirements with graphical mock ups. We would like to be a Microsoft stack with SQL DB...but open to suggestions. Strong communication and collaboration skills are a MUST!
...full-time, compensation and benefits depend on experience. Responsibilities will include accounts payables/receivables, credit card reconciliation, invoicing, preparation of financial statements, journal entries, bank reconciliations, all for multiple entities, as well as other bookkeeping duties that may be assigned. Administrative duties will include
URGENT PROJECT - MUST BE COMPLETED ASAP (1-2 DAYS MAX) I need the pdf file of an existing Bank of America statement to be converted into a WORKING TEMPLATE where ALL of the data in the tables can be changed, removed or added while keeping the same format. Hence, I need to keep the identical Graphics, Format and Template of this statement; however
...reports. - Bank movements, payment orders, checkbooks, bank transfers, reconciliation of accounts, reports of account statements. - Billing 3.3 - Payment schedule - Accounting record of the CxP - Care providers - Wire transfers - Cash Flow - Expenses policies - Record and control of expenses - Control and measurement of Caja Chica. - Bank reconciliations
i need someone who is capable to program all this kind of softwares ...the bank account flasher should be able to make a fake transfer to the recipient account showing pending or not able to withdraw the funds And for the anonymous text sender should be able to work on kali linux by using some hacking command to send an anonymous text message to
I need a PHP test of about 25 questions. The questions should be divided into 5 PHP topics, so 5 questions per topic. The question style should be multiple-choice (MPQ). The question content needs to be on the most recent PHP language features. The questions must be unique and not found in another web site. Once this small project is complete there will be opportunities for larger projects writ...
...and there is no any recipe missing from the original files. Duplicates have been removed. Expenses are assigned to the right report on Expensify. Second: There are around 200 bank transactions in an excel file. For each one, You need to identify the reference of the corresponding expenses reports from Expensify. Then write it down in the excel file.
Hi there, We make alot of purchases with our credit cards in the UK. We also record in an excel file of what we have purchased (from different ecommerce websites in the UK). And we also have an email address where we get all the invoices from these websites where we purchase from. Problem: I doubt that there's a leak! The person in my team who is making these purchases, might be using the c...
looking for a part time assistant bookkeeper. No experience necessary. Must be 18 or ...between the hours of 9am-5pm. Job duties include but are not limited to: Picking up mail and dropping off mail at the post office Sorting through the mail Filing/scanning Bank reconciliation Process AR transactions Process AP transactions Medical Claims processing
I need you to fill in a spreadsheet with data.
Hello I have 46 pages of bank statements. I need them to be turned into an excel spreadsheet. I tried to use a program to do it but many lines were missing and incorrect. Need someone who can turn it into an excel Thanks
Assist with Inventory Reconciliation in Enterprise IQ (IQMS). Accounting skills and must know IQMS manufacturing ERP software (Enterprise IQ).
I want an application which take let other shop owner to register and sell their product in my application in the meanwhile , I will provide the delivery for all the purchasing. Mean, I am going to provide delivery for all the things which selling on my application no matter it is food , grocery , or something else. I will provide motor delivery at the first . before i proceed to deliver the ite...
Hello , We are a marketing and distribution company of organic tahini spread. We want to write a business plan for the purpose of obtaining a loan from the bank. (Preference is given to writing a business plan in Dutch) . [login to view URL]
I am looking for someone who can write a good proposal to a bank on the above mentioned. we are an I.T company and one of our core business is power backup. we have qualified trained technicians and we are now looking for a financier to assist us in getting solutions to our clients.
I need some help with finding some leads. Following Bank Notes Required in any Denomination ##1000000 ##999999 ##888888 all 1-to 9 Numbers ##77-777777 all 1to 9 Numbers ##Star Notes .12A*000001 to 000100 ## 786-786 ##000001
Hello We are not located in US But need to publish app in App Store and need help filling out the tax & bank info Have you done this before, please help? Will hire ASAP
...various data - one sheet is a person's roster, another is an extract of their timesheet entries, another is employee data rules. I'm looking for a way to automate the reconciliation process for each employee (over 100) to check if the timesheet entries match the employees roster and advise me of any discrepancies. The data covers up to 2.5 years
...experience to help build a workflow that will help automate a process. Here I want to reconcile Only in mum side to Only in dad side. They both share unique IDs and the reconciliation should be based on them having the same quantity and code taking into consideration that we have one mum side for one dad side, and one mum side for multiple dad side
...Duties include: · Maintain Sales Ledger and chase outstanding debts using Skype · Maintain Purchase Ledger · Petty Cash and Credit Card Reconciliation · Reconciliation of bank accounts · Assisting with the production of Management Accounts information · Preparation of accounts to Trial Balan...
Looking for a proficient developer in integrated inventory management, expenses, management of sales team, sales commission, invoicing, bank deposits, product cost, sales price, RMA etc. The admin creates sellers account. The seller can log in to track his commission. He can create an invoice after he brokers a sales deal with a customer. The admin
– Create bank accounts and link with the COA.
– Payment Voucher.
– Receipt Voucher.
– Journal Voucher.
– Multiple Currencies.
– Currency rates by date (historical).
– View Bank dashboards and reports in erp software.
– Bank accounts reconciliation option in accounting software.
Hello , I have roughly 6 personal and business bank accounts I need itemized for 2016/2017 tax returns . Additionally I would like to have the 2016/2017 returns completed as well . I will provide all necessary tax transcripts and bank statements in addition to answer any questions about specific transactions .
...Jr/Intermediate Accountants - $40 - $50k - Tracking invoices and managing vendors ensuring timely payments - Prepare bank payments, coordinating approvals and communicating confirmations - Reconciling credit card statements - Assist with monthly reconciliation for accounts and year end close - Assist in the preparation of monthly / quarterly financial statements
the bank is Sterling Bank. You could check more about the bank on the bank site. Just write the script, I'll shoot the video myself.
...Tracking system operations and updating including some data entry. Customer-centric process improvements. Analysis of delivery for clients including client system reporting, reconciliation, and spot checking of client landing pages. Coordinate, track, and deliver on small-medium client requests that may include collecting of call recordings, lead details
Need freelancer/ organization to bring outsourcing project to us on high commission, We have a experienced PHP programmers, .NET Programmers, Java and angular experts and designers. Commissions we would provide is flat 20% for all projects and for projects more than $2000 commission would be 25% if Interested can chat with me