Position Overview
Job Description
Review and ensure revenue and direct costs are recognized in compliance with accounting standards and company policies.Execute monthly closing activities and reconciliations related to revenue and inventory, ensuring accurate and timely financial reporting.Deliver monthly, quarterly, and annual financial reports with analysis and commentary on key variances.Monitor inventory transactions, reconcile accounts to the general ledger, and ensure proper integration with SAP and related systems.Conduct periodic inventory counts and prepare reconciliations between physical stock, inventory systems, and the general ledger.Provide guidance and resolve issues raised by the offshore inventory team.Manage BAU tasks, liaise with business stakeholders to resolve issues, and respond promptly to queries.Collaborate with Product, Billing, and IS teams on new produ...