Job Description
The ideal candidate will have substantial exposure to monthly closing processes, forecasting and budgeting, and customer billing. They will be organized and approach each issue with an analytical mindset.
Responsibilities
- Manages Inter-company accounts & carryout monthly reconciliation with the related parties
- Reconciles bank accounts on a monthly basis
- Maintains; reconciles fixed assets schedules & register
- Follows up Investment overview & Capex
- Performs day to day banking functions
- Responsible in allocation of common cost to various cost centers
- Creates Supplier’s Master Data in SBO
- Performs general accounting functions & all related month-end tasks
- Prepares monthly & quarterly reports (Balance Sheet, Overhead Reports, Working Capital etc)
- Ensures monthly deadlines are met as required
- Provides cover for other accounting functions as requested
- Other duties as delegated from time to time by the Line Manager
Qualifications
- 3+ years' of professional accounting experience
- Bachelor's degree in Accounting, Finance, or Economics or equivalent experience