- Prepare journal entries and review accounting classifications in accordance with generally accepted accounting principles.
- Responsible for month end close for assigned function.
- Prepare balance sheet reconciliations.
- Review P&L and balance sheet account for accuracy.
- Participate in monthly financial reviews and provide explanations for variance inquiries.
- Ensures billing is performed in compliance with contracts and identifies discrepancies.
- The first level of review for specific balance sheet reconciliations completed by other team members.
- Ad hoc requests as needed.
Requirements
- Minimum 3 years of experience in accounting and finance.
- University degree in accounting or finance.
- Experience with financial reporting requirements.
- Familiar with English language.
- Good knowledge of accounting standards, regulations, and related procedures.
- Good knowledge of Insurance, Tax and VAT.
- Good team working skills.