Role Responsibilities
- Perform month-end and year-end closing with accurate journal entries
- Prepare reconciliations, VAT/GST/TDS filings, and support audit requests
- Collaborate with cross-functional and global teams to ensure process accuracy
- Guide and support less experienced team members in R2R activities
Key Deliverables
- Timely and compliant financial closings and reporting
- Accurate intercompany and balance sheet reconciliations
- Updated R2R process documentation and internal control support
- Successful coordination of accounting matters with regional teams
Skills Required
Balance Sheet Reconciliation, General Ledger, Fixed Assets, R2R, Ifrs