Job Description
Responsibilities:
Support monthly, quarterly, and year-end financial closings. Review P&L accounts for accurate income and expense classification. Perform variance analysis and investigate discrepancies. Reconcile balance sheet accounts with proper documentation. Prepare and post monthly accruals; ensure timely reversals. Collaborate with teams to validate accrual data. Reconcile bank accounts and resolve discrepancies. Prepare documentation and assist during audits. Assist with monthly/quarterly WHT and VAT filings and tax audits. Requirements: Bachelor’s degree in accounting, Finance, or related field. 2–4 years of accounting experience. Fluent in English. Knowledge of US GAAP and ERP systems. Proficient in Excel, Word, Outlook.