Management & Training Corp - - Responsibilities: Post routine journal vouchers or accounts payable vouchers, entering vouchers in registers, reconciling bank accounts, posting subsidiary ledgers or simple cost accounting data.; Reconcile bank accounts; Post subsidiary ledgers or simple cost accounting data; Maintain routine accounting records and reports in accordance with established procedures such as accounts payable, accounts receivable, inventory control or general accounting records; Perform miscellaneous clerical duties involving typing, filing, accumulating data, and preparation of repetitive reports