Search Results: 16 vacancies
...reporting process. You will provide accounting support with responsibility for preparing and processing journal entries, the reconciliation of balance sheet accounts, and supporting the month end close process. Collaborating closely with the global finance team, this...
...cash flow statements.
- Assist with month-end and year-end close processes, including journal entries, tax filing, and account reconciliations.
- Maintain and update financial records using accounting software and other tools as needed.
- Assist with budgeting and...
...Assure the integrity of internal controls in developing and maintaining financial systems to include monthly and year-to-date reconciliations between subsidiary accounts and the general ledger. Recommend improvements in internal controls and procedures to ensure that data...
...analysis and post it to COS according to allocation given by cost control.
Send monthly statements to all Business units and make reconciliations.
Job Requirements
~ Bachelor’s degree in accounting or Finance.
~ Excellent command of English.
~0 to 3 years'...
...reasons for disputes and collaborating with the internal department to expedite resolution/payment
Performing customer account reconciliation including support to 3rd party cash application team for clearing customer payments and credit item
Support and develop...
...reasons for disputes and collaborating with the internal department to expedite resolution/payment
Performing customer account reconciliation including support to 3rd party cash application team for clearing customer payments and credit item
Support and develop...
...in the company (Financial, Taxes, Transfer Prices).
You’ll be the one supervising the bank statement postings as well as the reconciliation of the bank accounts and petty cash, as well the reconciliation of all GL accounts in a monthly basis.
Managing the fixed...
...Authority laws and regulations
- Proven track record in financial analysis, planning, budgeting, forecasting, capital assets reconciliations, account statement reconciliations, audits, improving systems and procedures and initiate corrective actions
- Excellent User...
...all business transactions are recorded
Update accounts receivable and issue invoices
Update accounts payable and perform reconciliations
Assist in the processing of balance sheets, income statements and other financial statements according to legal and company...
...entries. This individual will also play a key role in the month-end close cycles, including reviewing journal entries, balance sheet reconciliations and financial statement analysis.
Responsibilities
Ensure an accurate and timely month end close by preparing various...
...accordance with Company programs Lead the omnichannel processes Manage and execute shrink and safety programs Assist with cash reconciliation and bank deposits Assist with inventory processes to include Return to Vendor (RTV) and Advance Shipping Notice (ASN) activities...
...Job Description
Preparing financial reports
Performing account reconciliations
Maintaining the general ledger
Preparing tax returns
Assisting with audit preparations
Performing other accounting duties as assigned
Assuming a leadership role to guide...
...enters all transactions daily/weekly/monthly into accounting
Uploads supporting evidence for all transactions
Performs bank reconciliations for all client bank
Preparation of payroll for multiple entities on a weekly
Preparation of monthly or Quarterly PAYGW,...
...all business transactions are recorded
Update accounts receivable and issue invoices
Update accounts payable and perform reconciliations
Assist in the processing of balance sheets, income statements and other financial statements according to legal and company...
...test cases and debug ETL Mappings
Expertise in developing Load Plans, Scheduling Jobs
Ability to design data quality and reconciliation framework using ODI
Integrate ODI with multiple Source / Target
Experience on Error recycling / management using ODI,PL/SQL...
...Outlook
Responsibilities
Support the business by managing daily accounting and financial tasks
Compile reports, maintain reconciliations of financial statements and other financial documents
Processing financial transactions through the accounting system...