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Key Deliverables
• Handle month-end close activities including reports and period closure for specific regions
• Prepare journal entries and perform balance sheet reconciliations
• Investigate and resolve reconciling items and process issues
• Support ad hoc financial reporting needs across multiple countries
Role Responsibilities
• Ensure timely and accurate service inventory accounting
• Collaborate with finance teams and stakeholders to maintain compliance and accuracy
• Communicate effectively across all levels of management
• Adapt to dynamic environments while maintaining attention to detail and quality
Job ID: 107708981
Skills:
Excel., Journal Entries, Inventory accounting, Balance Sheet Reconciliation