• Support the monthly financial close process, reviewing all the P&L and Balance Sheet Accounts balances are correct.
• Prepare information for month-end finance reports to the corporation.
• P&L and BS variance analysis VS plan and prior year direct opex and global functions.
• Prepare other account balance reconciliation analyzing and improving the sources of information.
• Participate in the ongoing development/establishment of accounting/operation policies and procedures including the review and implementation of process and system changes.
• Support on the annual budget preparation.