Position Overview
About the Role
Cash Accounting Analyst – Global Finance Controllership Team supports the business with technical accounting compliance, financial and operational internal controls, process simplification, and operational excellence to deliver accurate financial reporting and analysis.
Responsibilities
- Perform month‑end closing activities to ensure recording of journal entries and meet business deadlines and requirements.
- Review bank reconciliation of cash and bank related accounts.
- Prepare, post and run reports to share information required for month‑end reports and deadlines.
- Identify and solve backlog issues to ensure daily tasks are completed on‑time.
- Work closely with external and internal auditors to assist in completion of all audits.
- Collaborate with cross‑functional teams to provide support and guidance for financial activities.
Qualifications