Performs database input as required in any finance role, Performs routine subsystem reporting for accounts receivables, account payables, inventory, fixed assets and payroll.
Performs balance sheet account reconciliation.
Responsible for support all tax requirements, ensure that all transactions are properly booked in the correct currency. Understanding of inventory processes, days on hand, evaluating obsolescence provision adequacy, and assessment of future business needs.
Understanding of fixed assets processes under US GAAP and IFRS procedures, ensures that all financial transactions are recorded in compliance with WFT policies and procedures.
Ensure adherence to corporate ethical policies and internal controls. Understands, reviews.
Reconciliates, coordinates and reviews balance sheets.
QUALIFICATION:
Minimum 5-8 years experience with demonstrated competencies.
Professional Accounting Designation.
Bachelor's degree from an accredited university with a major in accounting.
* Strong organizational and communication skills with an attention to detail
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