- Perform daily accounting & finance duties including receivables and payables processes, general ledger, tax and bank reconciliation, etc.;
- Prepare monthly financial and management reports for subsidiaries;
- Consolidate accounts and ensure compliance with accounting standards;
- Assist in group consolidation reports;
- Support audit and tax queries;
- Liaise with banks on banking transactions;
- Manage timely closing process and reconciliations, including for intercompany transactions;
- Support the operational teams in maintaining strong vendor relationships.