Co-ordinate and execute month end, quarter end and year end closing activities to ensure timely and accurate closure of accounts in compliance with work instructions and month end close checklist
Perform and analyse booking accounting transactions, working and calculations are executed on timely and accurately
Clearing of open items in accounts
Perform analytical review of profit and loss accounts and balance sheet, cost center checks and transaction posting checks
Ensure accruals are properly justified and correctly posted
To ensure all journals are performed accurately and timely
Prepare monthly balance sheet reconciliation, highlight and rectify any anomalies encountered
Submission of monthly, quarterly and yearly reporting packages accurately and within specified timescale
Documentation & Controlling
Ensure ...
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