Description
:
End-to-end Trade AP and Intercompany transactions for KR Core and ACAL-ETTrade / Intercompany payment batch review and executionCommunication with suppliers and regional AP team for reconciliation and payment issue, invoice discrepancy issue Cash payout forecast for USD currency payments Overseas payment documentation and bank submission (import/export documents)Customs duty & VAT processing and accounting for customs clearanceMO settlement, S&D and GIT transactionsEBS and balance sheet review supportExternal audit support and corporate tax return preparationLocation:
KR-Seoul, Korea (Centerpoint Seocho)
Time Type:
Full time
Job Category:
Accounting/Finance