Job Description
- Perform reconciliations for all balance sheet accounts prepared by accounting, business and other business unit
- Prepare the group reporting submission on monthly basis
- Ensure and monitor that all financial records are fairly presented without any significant misstatement
- Identify and follow up the differences noted from reconciliation to the respective units
- Involve in project (including UAT) for new product development
Requirements
- Bachelor degree in Accounting
- Has 0-2 years experience (preferably has experience from Big 4 Accounting Firm) in banking/financial services industry
- Possess general knowledge, skills and competencies on accounting principles and/or regulations related to banking industry
- Passionate in doing impactful work, accountability for actions, full initiative, and integrity that places honesty above all else
- Great work-ethic and attitude • Detail-oriented individual and ability to multi-task
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