We are seeking a Reconciliation & Payments Specialist to manage daily financial reconciliations, payment processing... reconciliation and reporting processes to enhance efficiency and accuracy. Requirements Bachelor's degree in Finance, Accounting...
transactions accurately, following SOPs for payments, cash handling, and reconciliation. Maintain stock levels for printed...
, in line with global and cluster policies. Reconciliation of trade deal accounts on a monthly basis. Lead month-end...
for all transactions related to Tax Ledger in terms of booking, reconciliation, analysis, and reporting. Good knowledge in group tax... reporting-responsible to prepare quarterly/annual tax information package. Prepare monthly BS reconciliation for tax accounts...
of sale information and follow up on the sales reconciliation based on the set accounting sheets. Follow up and validate...
for customers of PwC: Intercompany & Balance sheet Reconciliations Reconciliation of AR / AP statements for all counter parties... with transactions of higher value, handles critical, escalated and more complex customer issues. Reconciliation of GL as related to AP...
& Balance sheet Reconciliations Reconciliation of AR / AP statements for all counter parties Meet the month end... value, handles critical, escalated and more complex customer issues. Reconciliation of GL as related to AP & AR Report...
Job Description: Overview This role is responsible for overseeing and managing the stock reconciliation activities...
Overview: This role is responsible for overseeing and managing the stock reconciliation activities at third-party...
company policies. Account Reconciliation: Oversee the reconciliation of all balance sheet accounts and resolve discrepancies...
as per their denomination in the till. Prepare reconciliation document at the end of the business day accounting for all transaction. Manage...
system issues related to store operation activity affecting the stocks. ● Monthly reconciliation with finance. ● Monthly...
, and reconciliation tasks. Provides coaching and timely feedback to the team. Creates and implements development plans for each staff...
event reconciliation ahead of sharing with client. Submit Monthly Performance Report to Client within the agreed timelines...
both within Cluster and GBS Hub The Franchise analyst role also works on Funds reconciliation between Bottler and PepsiCo and supports...