Reconcile assigned intercompany and general ledger accounts, follow up on unreconciled items, and ensure all reconciliations and journal corrections are approved to ensure effective business operations.
Perform month-end and year-end activities for accounts reconciliation, ensuring that the relevant activities and processes are followed, and deadlines are met in accordance with financial regulations. Overtime may be required during month-end and year-end.
Manage new and ongoing queries through logging and resolving them
Ensure that all accounting journal entries are processed timeously and accurately.
Collaborate with various internal and external stakeholders to ensure accurate data is timeously recorded.
Key Responsibilities:
Reconcile assigned intercompany and general ledger accounts, follow up on unreconciled items, and ensure all reconciliations and journal corrections are approved to ensure effect...