Job Description
Key Responsibilities
- Perform daily operational activities related to area of expertise as assigned. Ensure smooth month end closing activities – working to a tight deadline:
- ABOs Bonus (includes bonus adjustment and accrual journal processing)
- ABOs Payment (i.e. outbound payment)
- Trial balance commentaries and month end reports
- Ensure timely preparation of balance sheet reconciliation and quality of supporting schedules, based on high, medium or low risk accounts.
- Ensure timely submission of required financial supporting documents and information for internal and external audit matters. Work with CAST and COE Tax when issues arise on OTC owned accounts.
- Maintain a strong financial control environment and ensure timely escalation and remediation of any control deficiencies identified.
- Ensure service level agreements (SLA) and monthly performance and product...