WHAT YOU’LL DO
• Process/Upload bank statements and maintain bank reconciliations
• Post A/P invoices and verify internal reconciliations
• Prepare supporting documents for Payment cycles and set up bank wires
• Process credit card Entries
• Manage the monthly statutory submission (Vat)
• Prepare the month-end close and post-cutoff entries (prepaid/accrued expenses)
• Manage the Fixed Assets software and post the monthly depreciation entries
• Process travel expenses and reimbursement
• Assist with reconcile inter-company balances.
WHAT YOU’LL BRING
• At least 6+ years of experience in Hi-Tech companies in a similar position
• Experience in NetSuite ERP system
• Proven record in High-tech and/ or Global companies – an advantage.
• Capacity to manage multiple tasks in a fast-paced, dynamic environment while meeting strict deadlines.
• Service-oriented with excellent communication and organizational skills
• Attention to details and accuracy
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