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Job Description
Structured overview of role & requirementsAbout This Role
Ensure accuracy and completeness of general ledger through reconciliation and journal entry validation.
Manage cash management, payment processing, bank accounts, and treasury policy implementation.
Support financial reporting, period-end closing, and contribute to finance process improvements and global projects.
Minimum Requirements
2-5 years of relevant experience in financial accounting, reporting, or cash management.
Bachelor's degree in Finance, Accounting, or recognized accounting qualification.
Experience with financial tools such as Infor LN, M3, and Nomentia Cash Management.
Strong knowledge of accounting principles and standards.
Ideal Candidate Profile
Demonstrated expertise in cash management, financial accounting, reporting, reconciliations, and treasury-related processes.
Ability to work independently and balance operational tasks with process improvements.
Effective at analyzing financial data, providing accounting guidance, and collaborating with multiple stakeholders globally.
