Descripción
- Perform different type of tasks for Month-end, quarter end, and year end closing
- Calculate and post manual journals at month end with appropriate and complete supporting documentation
- Perform certain monthly Balance Sheet Accounts Reconciliations
- Perform Inter-Company Reconciliations
- Manage Fixed Assets
- Interface with various departments, including purchasing, sales, finance, others.
- Assist with other additional reporting requirements as needed
- Support with finance related projects as required
- Any other ad-hoc duties as required
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Tipo de contrato
Sin especificar
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Salario