Job Purpose:
Responsible to support finance lead by managing various client accounts which will be assigned as per capacity and account activity level.
Key Tasks:-
Understand client contract and MSA.
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Ensure billing to client is in accordance with the contract agreed in each country.
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Review of open PO report with operations, ensuring accuracy of GL and cost center allocation.
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Participate in budget/forecast process
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Strong communication between all relevant stakeholders as per account.
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Report YTD results to respective managing directors per account.
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Preparation of the balance sheet and profit and loss statements and compilation of data for the preparation of regularly scheduled and special accounting reports.
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Post and prepares journal entries, review with account and CBX finance leads.
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Follow up on collection and reconciliation on statement of accounts.
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Prepares monthly account analysis of balance sheet accounts, develops adjusting entries as needed, and reviews status of all significant accounts with Accounting Management.
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Researches and resolves accounts receivable issues.
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Ensures that systems and procedures follow company policies, acceptable accounting practices, and applicable regulations.
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Maintains accounting processes and procedures, which comply with generally accepted accounting principles, tax requirements and management reporting requirements.
-
Understand client contract and MSA.
-
Ensure billing to client is in accordance with the contract agreed in each country.
-
Review of open PO report with operations, ensuring accuracy of GL and cost center allocation.
-
Participate in budget/forecast process
-
Strong communication between all relevant stakeholders as per account.
-
Report YTD results to respective managing directors per account.
-
Preparation of the balance sheet and profit and loss statements and compilation of data for the preparation of regularly scheduled and special accounting reports.
-
Post and prepares journal entries, review with account and CBX finance leads.
-
Follow up on collection and reconciliation on statement of accounts.
-
Prepares monthly account analysis of balance sheet accounts, develops adjusting entries as needed, and reviews status of all significant accounts with Accounting Management.
-
Researches and resolves accounts receivable issues.
-
Ensures that systems and procedures follow company policies, acceptable accounting practices, and applicable regulations.
-
Maintains accounting processes and procedures, which comply with generally accepted accounting principles, tax requirements and management reporting requirements.
-
Other duties may be assigned.
Job Requirements:-
Degree - 2 or equivalent
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"Experience in GL in a similar role, knowledge of US GAAP
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Experience with ERP (SAP)
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Strong Excel skills required
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Knowledge of the English language is a MUST both written and verbal