Manage intercompany recharge confirmations and reconciliations.
Ensure accurate and timely preparation of data for self-billed e-invoicing
Record monthly financial transactions in the ledger, including accruals, prepayments, reclassifications, and interdepartmental entries, and prepare corresponding reports
...
Manage intercompany recharge confirmations and reconciliations.
Ensure accurate and timely preparation of data for self-billed e-invoicing
Record monthly financial transactions in the ledger, including accruals, prepayments, reclassifications, and interdepartmental entries, and prepare corresponding reports
...