Job Description
Responsibilities
- Perform daily and monthly financial and accounting transactions with the general ledger system.
- Manage and execute monthly analysis and reconciliations of balance sheet accounts, analyze financial information, prepare reports, and verify accuracy.
- Assist with the automation and streamlining of internal and corporate reporting processes.
- Work under the Finance and Accounting business services group, responsible for the delivery of all activities related to accounts payable, accounts receivable and general accounting.
- Perform tasks related to:
- Journal Entries
- Reconciliations
- Treasury / Cash Management
- Period Close
- Monthly Standard Activities
- Quality Assurance
Qualifications
- Bachelor’s Degree in Business / Finance / Accounting-related courses only.
- At least 2 years of solid Finance/Accounting experi...
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