Manage month-end close
Manage the local books according to the local tax rules
Prepare the tax reports and KSH reports
Perform cost allocation and cost re-class transaction
Preparation of monthly and quarterly reports and upload them
Perform / review account reconciliations
Updat.
Manage the local books according to the local tax rules
Prepare the tax reports and KSH reports
Perform cost allocation and cost re-class transaction
Preparation of monthly and quarterly reports and upload them
Perform / review account reconciliations
Updat.