What You Will Do
- Responsible for daily bank entries booking, bank transitory clearing and monthly bank reconciliation for a medium to high transaction volumes / larger countries.
- Ensure bank transaction open items in transitory accounts are resolved within the set KPI.
- Ensure agreed KPIs with country are met and delivered as per SLA.
- Performed task completeness check based on task schedule / check listing.
- Work according to Internal Control (CRISP) requirement.
Required Skills and Abilities
- Fresh graduate in Finance / Accounting.
- Experience with SAP is a plus point.
- Software skills (Word, Excel, PowerPoint, etc.).
- Good communication skills in English (verbal and written).
- Good analytical skills.
Closed a year ago
- Job type:Graduate Jobs
Accounting, Banking and Finance
- Closing Date:26th Sep 2020, 6:00 pm