Search Results: 6 vacancies
...the accounting system.
-Support in preparing and processing invoices, payments, and expense reports.
-Assist in bank reconciliation and monitor cash flow.
-Help track and verify financial transactions and documents.
-Provide administrative support to...
...operations that comply with governmental institutions as required by Law.
In this role, you'll
-Take ownership and lead reconciliation effort of daily cash movement
-Ensure completeness and accuracy of each customer's virtual account balance
-Manage customer...
...Familiar group companies financial statement consolidation and reporting.
Cash Management: Oversee petty cash disbursements and reconciliations. Maintain proper documentation and internal controls over cash transactions.
Month-end and Year-end Closing: Coordinate...
...of the Cost & Controlling team in performing daily activities for the following Cost & Controlling processes by performing cost reconciliation through the preparation of costing reports and analysis
Review Monthly/ quarterly/ year-end/ Business Group financial...
...including preliminary results, entity level management reporting pack, group level management reporting pack for corporate submission, reconciliations / analysis; and/or
Supporting the budget control processes for the business group.
Perform entity level & group...
...in month-end closing and management reporting
-Assist in year-end audit preparation and tax computation
-To ensure bank reconciliations are completed for each month-end
-To prepare monthly balance sheet reconciliation schedules, intercompany reconciliations,...