Role Overview:
Finance transactional role in Smith & Nephew Global Business Services (GBS) responsible for the delivery of effective and efficient finance transactional processes and controls from a GBS centre as described in the S&N Finance and in line with the Group Finance Manual, Minimum Acceptable Practices (MAPs) and Sarbanes Oxley requirements.
The role holder is responsible, a team player, tries his/her best to make S&N a great place to work and upholds the company's values: Performance, Innovation and Trust.
Responsibilities:
Perform monthly intercompany and GL reconciliations
Prepare and post month end close journals
Prepare monthly/quarterly/annual reports
Prepare statutory reporting and validation
Perform bank statement reconciliations
Balance Sheet reconciliations
Perform tasks in compliance with accounting standards, tax, local, legal rules
Location: Bangsar South
Education: Undergraduate
Competences: Chinese (Written and Spoken)
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