Job Description:- We are looking for person having hands on experience on below activities in R2A:
- Maintain and record master list of monthly journal entries
- Perform Daily Bank reconciliations and posting journals.
- Perform Balance sheet reconciliation, Intercompany and Control account reconciliations.
- Perform Month end close and prepare Journals and month end reports.
- Assist auditors with journal entry examinations and production of financial statements
- Should have knowledge in Fixed Assets process
Note: Candidate worked in Oracle is added advantage.