Job Scope
Reporting to the Finance Manager, you will be responsible for maintaining accurate financial records, GL account reconciliations, supporting annual budget process, and ensuring all financial transactions are correctly documented.
Your role will involve verifying ledger entries and reconciling subsidiary ledgers with the general ledger.
You will be tasked with preparing balance sheet, P&L statements, analysis of financial performance to forecast future financial outcomes.
The role also encompasses assisting various accounting aspects such as ledger maintenance, revenue accounting, asset accounting, and related analysis and reporting activities.
You will have the opportunities to support in global system and process initiatives and in driving implementation of accounting and controls procedures.