Manage the general ledger, including posting journal entries, maintaining chart of accounts, and accurate transaction coding.
Conduct regular GL account reconciliations to validate balances and promptly rectify any disparities.
Support month‑end and year‑end closing activities, including preparation of financial statements and supporting schedules.
Prepare accurate and timely financial reports for internal and external stakeholders.
Assist in gathering financial information requested by internal/external auditors and regulators.
Monitor and assess the impact of financial trends on the organization’s financial stability.
Collaborate with cross‑functional teams to gather financial data and ensure completeness and accuracy in reporting.
Ensure...
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