Job description
ð Key Responsibilities Ensure accurate and timely cashbook processing across regions Manage the General Ledger, Trial Balance, and Balance Sheet integrity on a monthly basis Maintain strict control over allocations, coding, and transaction postings Perform detailed Balance Sheet reconciliations and maintain supporting schedules Prepare and manage 12-month overhead reconciliations Conduct ongoing GL housekeeping (weekly and monthly), including clearing misallocations Maintain and reconcile su…