Prepare monthly financial statements and management reports.
Support external audits and respond to auditor inquiries.
Coordinate and prepare periodic tax filings and support corporate income tax compliance with schedules.
Maintain accurate books and execute end-to-end month-end, quarterly, and year-end closing processes including journal entries and key reconciliations.
Execute daily treasury operations such as payments and bank transfers, and manage bank administration tasks.
Manage trade finance operations by preparing and reviewing LC-related documents, coordinating with banks and counterparties, and maintaining related documentation.
Provide general administrative and operational support, including coordination and day-to-day assistance as needed.
Preferred competencies and qualifications.
Hands-on accounting and finance experience in closing, reporting, and reconcilia...
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