{"tema_id":"281","string":"Tenedores de libros","created":"2017-05-13 12:23:10","code":"3313","notes":[{"@type":"Definition note","@lang":"es","@value":"Mantienen un registro completo de las transacciones financieras de una empresa y verifican la exactitud de los documentos y registros relativos a dichas operaciones. "},{"@type":"Definition note","@lang":"en","@value":"Accounting associate professionals maintain complete records of financial transactions of an undertaking and verify accuracy of documents and records relating to such transactions. "},{"@type":"Nota de alcance","@lang":"es","@value":"Algunas ocupaciones afines clasificadas en otra parte:\n\nAuxiliar de contabilidad - 4311\nAsistente actuarial - 3314\nContador - 2411\nDigitador de contabilidad - 4132\nEmpleado de contabilidad - 4311\n "},{"@type":"Nota de alcance","@lang":"en","@value":"Example of the occupations classified here:\n\nAccounting assistant\nBookkeeper\n "},{"@type":"Nota de alcance","@lang":"en","@value":"Some related occupations classified elsewhere:\n\nActuarial assistant - 3314\nAccountant - 2411\nBookkeeping clerk - 4311\n "},{"@type":"Tareas","@lang":"es","@value":"\nSupervisar el trabajo de los empleados contables y empleados de tenedur\u00eda de libros.\nAplicar el conocimiento de los principios y pr\u00e1cticas de contabilidad, con el fin de identificar y resolver los problemas que surjan en el curso de su trabajo.\nVerificar la exactitud de los documentos y registrar lo relativo a los pagos, recibos y otras transacciones financieras.\nMantener un registro completo de todas las transacciones financieras de una empresa, de acuerdo a los principios generales de contabilidad, con la orientaci\u00f3n de los contadores.\nPreparar los estados e informes financieros de los per\u00edodos determinados.\nUtilizar aplicaciones de software est\u00e1ndar para realizar c\u00e1lculos contables y afines.\nDesempe\u00f1ar tareas afines.\n "},{"@type":"Tareas","@lang":"en","@value":"Tasks include\n\nusing standard computer software packages to perform accounting and related calculations\npreparing financial statements and reports for specified periods\nmaintaining complete records of all financial transactions of an undertaking according to general bookkeeping principles, with guidance from accountants\nverifying accuracy of documents and records relating to payments, receipts and other financial transactions\napplying knowledge of bookkeeping principles and practices in order to identify and solve problems arising in the course of their work\nsupervising the work of accounts and bookkeeping clerks.\n "}]}