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 reportingAccurate intercompany and balance sheet reconciliationsUpdated R2R process documentation and internal control supportSuccessful coordination of accounting matters with regional teamsSkills Required
R2R, Balance Sheet Reconciliation, General Ledger, Ifrs, Fixed Assets