11 hours ago
Handle month-end close process including preparation of recurring journal entries, account reconciliations, and accounts analysis.
Prepares financial statements and related schedules.
Prepares, analyzes, and distributes financial results including variance explanations.
Assist in the annual audit and tax compliance by providing supporting documentation and analysis.
Handling ad-hoc projects as assigned by Senior Management.
Prepares elimination and consolidation entries and analysis.
Interprets financial transactions and events in accordance with generally accepted accounting principles and financial statement standards.
Handling various aspects of inter-company transactions, including reconciling with inter-company partners on a regular basis and ensuring transactions in the general ledger are properly recorded.
Collaborates with a fast-paced team where independent thought and work-product is required.
Follows all organizational systems, programs, training, policies, and procedures as required and complies with relevant legal mandates. Seeks guidance as required.
Handles various special projects as delegated by Management.
Carries out all responsibilities in an honest, ethical and professional manner.