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• Manage month-end closure including journal entries, accruals, intercompany, and forex transactions
• Prepare and analyze P&L, Balance Sheet, and intercompany reports with accuracy
• Support budgeting and forecasting processes including validation and reporting
• Perform account reconciliations and handle ad hoc financial reporting requirements
• Ensure SLA adherence with high accuracy and timely delivery of financial outputs
• Collaborate with stakeholders to address queries, improve processes, and ensure compliance
Job ID: 145545631