About the role
Description Develop strategies, manage resources, lead team meetings, and monitor performance metrics. Prepare, review and upload journal entries – System, Manual (Payroll allocation, Accruals, Prepayments, Netting entries, Allocations, Depreciations, etc.) Reconciliations of Balance sheet accounts Intercompany reconciliations including foreign currency translations Month end close GL activities Knowledge and Experience in Fixed Asset, Prepaid and Capital Lease Accounting Sub ledger reconciliat…
