Full-time Posted June 17, 2026
Apply Now

Job Description

Responsibilities

  • Recognition of revenue as per IFRS 15 and CSI policies along with updating detailed revenue report monthly.
  • Review all costs and invoices to ensure prepaid costs and accruals are posted correctly at each month.
  • Recognition of new leases and maintain lease schedules as per IFRS 16.
  • Maintain monthly BS Reconciliations with supports.
  • Monthly upload local statutory accounts TB to
  • Maintain monthly reconciliation of local statutory accounts (Italian GAAP) to management accounts (IFRS).
  • Maintain and update bank transactions on a weekly basis along with a detailed review for any cash surplus or deficit.
  • Fixed Assets Management (fixed asset additions, disposals and reconciliation)
  • Prepare AR aging reports, assist in preparation of the allowance of doubtful account provision and supporting material.
  • Assist in the preparation of internal monthly financial statements related to mon...

Apply for This Position

Ready to take the next step? Click the button below to submit your application.

Submit Application