- Manage month-end close including reports, period opening/closing, and journal entries
- Perform balance sheet reconciliations and resolve variances
- Support investigations of reconciling items and process gaps
- Handle ad hoc accounting tasks for assigned countries
Role Responsibilities
- Ensure accurate service inventory accounting across regions
- Collaborate with cross-functional teams for compliance and reporting
- Analyze and resolve accounting discrepancies independently
- Communicate effectively across all levels in a fast-paced setting