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Filinvest Group
United States · remote · Salary not listed
·Post Intercompany journal entries on both sides for cross-company enabled locations and to one location if not cross-company enabled.
·Works with appropriate accounting contact persons for Intercompany transactions not going through the tool.
·Monitors pending Intercompany requests (either Sending or Receiving) and provides status updates to parties who will need to action such requests.
·Prepares accruals for recurring transactions.
·Ensures timely expense recognition (on both sides) for year-end Intercompany related accruals.
·Serve as Corporate hub for intercompany accounting, managing intercompany transactions, policies and communication and company-wide reconciliation of intercompany account activity.
·Coordinate intercompany accounting over the Company’s, ensuring proper valuation and accurate cutoff and accounting on a consolidated basis.
·Responsible for the timely and accurate design, review, posting and reconciliation of month end close specifically for the reporting of intercompany.
Originally posted on Himalayas
Apply on source siteListed via Himalayas