Responsibilities
- Perform weekly Intercompany reconciliations.
- Value and remeasure foreign currency items.
- Analyze monthly sales variances by currency and quantity, identifying trends and potential issues.
- Calculate and monitor stock yields to support inventory accuracy and production efficiency.
- Post mid- to high-complexity accounting transactions, ensuring compliance with company policies and GAAP.
- Prepare cash forecasts to support liquidity planning and financial decision-making.
- Prepare weekly supplier payment runs, ensuring timely and accurate payments.
- Support month-end closing processes, taking ownership and accountability for timely and accurate deliverables.
- Other duties as assigned.
Requirements
- Strong SAP expertise
- Hands-on and independent work mindset
- Demonstrated integrity, accountability, and humility in collaboration
- Ability to post mid- to high-complexity accounting transactions in compliance with company policies and GAAP
- Experience supporting month-end closing processes with ownership and accountability
Nice to Have
- Experience in management in an international environment