both local and cross border Reconciliation of all bank accounts, both local and foreign Reconciliation
Areas:
- Cashflow
- Fixed deposits
- Bank statements
- VAT
- Fixed assets (additions
finance team to streamline billing processes
Perform daily and monthly account reconciliations for bank statements, ledgers, and other financial accounts
intercompany and fixed assets) • Review and Release of bank payment • Assisting users with HFM/OneStream support
intercompany and fixed assets) • Review and Release of bank payment • Assisting users with HFM/OneStream support
Exchange Contracts) Reconciliations of accounts (Banks, Intercompany transactions, Payroll, VAT, Inventory
their financial goals Regularly review clients' bank and other accounts and analyze their financial data
Exchange Contracts) Reconciliations of accounts (Banks, Intercompany transactions, Payroll, VAT, Inventory
their financial goals Regularly review clients' bank and other accounts and analyze their financial data