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Job Description
Role Purpose Statement:
To perform RTR domain activities during the non-month and month end which includes general ledger activities including Manual journals preparation and posting like accruals/provisions/rectifications/adjustments etc, Fixed assets accounting & reporting, Banking transaction, Loan Management, BS reconciliations, Derivatives MTM , Month end close and reporting related tasks.
Main Accountabilities:
β’ Perform month end close activities within a defined timeline.
β’ Perform monthly revenue de-recognition process and record the appropriate transactions.
β’ Manage lease accounting and month end subledger (Nakisa) reconciliation with General ledger.
β’ Responsible for posting of Manual Journal Entries (JEs) in system post approval from local country team.
β’ Analyze and post monthly expense accruals/amortization JEs.
β’ Run currency revaluation and update exchange rates, as and when ...