Ensure timely, accurate monthly close and statutory requirements IFRS/US GAAP, financial reporting, preparing journals and reconciliations, analizing variances and issuing entity financials and managements package
Administer payments, banking, and cash control by managing bank platforms and mandates, executing approved payments run within policy, maintaining signatory documentation, resolving compliance matters directly with banking partners, and meeting KYC and local regulatory requirements
Support the region on cash needs and intercompany transactions
Payroll & Benefits: Process payroll, manage payroll tax payments, and assist with employee benefits