This job posting has expired
Expired on May 6, 2026
Job Description
The position is responsible for overseeing the day-to-day execution of general ledger impacted processes, performing accounting functions specifically in account balancing, ledger reconciliation, reporting, and discrepancy resolution.
Responsibilities
- Responsible for monthly book closing
- Perform Bank reconciliation and Group Company Account Reconciliation
- Internal Audit and query resolution of Internal Audit
- Fixed assets booking and register maintenance
- Generate daily, weekly, and monthly MIS reports
- Vendor management and reconciliation
- Finalization of accounts and employee settlements
- Perform ledger scrutiny to ensure books are up to date
- Adjust advances against subsequent payments
- Monitor cost control and reduction
- Participate in budgeting