Full TimeFinancial Reporting
Posted 11 July 2026
Job description
ResponsibilitiesProcess daily general ledger (GL) transactions and ensure accurate al
location of costs across departments.
Execute monthly bank, sub‑ledger, and balance sheet reconciliations, swiftly clearing open items.
Assist in the preparation of statutory financial reports, trial balances, and cash flow statements.
Maintain fixed asset registers, recording additions, disposals, and calculating monthly depreciation.
Qualifications
Experience with intercompany and consolidations.
Experience with SAP.
Compensation25,000.00 - 59,172.92 per month
BenefitsPaid time offWork LocationIn person