Efficiently process Accounts Payable and Intercompany transaction, ensuring accuracy, timeliness, and completeness across all assigned financial processes.
Perform accounting functions in compliance with company policies, accounting standards, and regulatory requirements.
Support month-end closing, financial reporting, including prepare journal entries
Perform account reconciliations and maintain appropriate supporting documentation.
Support internal and external audit, and tax related matters
Liaise with internal stakeholders to resolve transaction-related issues and ensure smooth operational processes.
Maintain proper records and documentation in accordance with company procedures.