About this Position This role is responsible for maintaining accurate financial records, reconciling accounts, and preparing reports in line with accounting standards. It also provides technical accounting support, coordinates with GBS+ teams, and contributes to business projects and new accounting implementations.
What you´ll do
- Maintains accurate financial records, account books, as well as sales, purchase, and cash journals
- Classifies, codes, and records financial transactions and posts entries to general ledger
- Checks balance statements and other information provided by financial institutions
- Reconciles accounts, posts journal entries, maintains a general ledger in accordance with accounting principles and reporting
- Collects, compiles, verifies and analyzes financial information and prepares financial reports and accounting statements
- Provides technical accounting advice within the area of expertise Supports business projects in own area of expertise
- Supports the implementation of new accounting requirements Coordination with relevant GBS+ teams for migrated activities