Responsible for the preparation of journals for month end close activities, financial statements, balance sheet reconciliations, fixed assets register and intercompany transactions.
Handle end-to-end intercompany processes, including journal entries, reconciliations, dispute resolution, and settlements, while ensuring compliance with internal policies and transfer pricing guidelines.
Perform monthly and quarterly interco transactions, payroll and staff related matter, e-invoicing reconciliation, and ensuring consistent application of group accounting policies across all entities.
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