The Opportunity:
This role is responsible for managing end-to-end accounts receivable operations, supporting month-end close activities, and ensuring accurate financial reporting and compliance.
Reporting to the Senior Finance Manager, the position plays a key role in cash flow management, audit coordination, intercompany transactions, and budgeting support, while driving continuous improvements in financial processes.
What Your Impact Will Be:
- Manage daily accounts receivable operations, including monitoring collections, following up on outstanding balances and deductions, and performing credit assessments.
- Prepare month-end closing journals, reconciliations, supporting schedules, and full sets of financial and management reports.
- Oversee intercompany invoicing and settlement processes to ensure timely and accurate transactions.
- Support audit requirements by preparing audit schedules and collaborating with auditors to ensure compliance with SOX and financial audit standards.
- Assist in annual budget preparation and perform financial analysis as required.
- Prepare and maintain cash flow forecasts.
- Support ad hoc finance projects and assignments as needed.