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• Perform day‑to‑day accounting, journal postings, and account maintenance.
• Support General Ledger (GL), Intercompany (IC), and Payroll accounting activities.
• Ensure accurate and timely recording of monthly staff costs and payroll adjustments.
• Assist in month‑end close activities and preparation of financial reports and schedules.
• Support reporting in consolidation tools such as BPC.
• Record and reconcile intercompany balances and resolve mismatches.
• Prepare Balance Sheet reconciliations with commentary and maintain supporting documentation.
• Support financial reporting, variance analysis, and commentary for reporting packs and dashboards.
• Provide timely and accurate operational financial reports to stakeholders.
• Prepare schedules, documents, and reconciliations for external audit requests; support compliance with internal controls.
• Collaborate with Finance Business Partners, Client Finance teams, and other stakeholders to ensure smooth financial operations.
• Participate in process optimization, automation, and SOP documentation to improve quality, accuracy, and efficiency.
Job ID: 145498315