Balance sheet reconciliations
Ensure all Intercompany activity (invoices, queries, reporting, PO-s)
Handle intercompany transactions across multiple locations
Prepare cashflow, working capital forecast and funding requests
Assisting with annual statutory consolidations
Ensure all Intercompany activity (invoices, queries, reporting, PO-s)
Handle intercompany transactions across multiple locations
Prepare cashflow, working capital forecast and funding requests
Assisting with annual statutory consolidations