Job Responsibilities Support the month-end financial statement close process, ensuring timely and accurate reporting to aid in strategic decision-making.Prepare balance sheet reconciliations of high quality, investigating and resolving any discrepancies identified during the process.Manage accounting entries for funding international subsidiaries, ensuring all transactions are in compliance with applicable financial regulations.Handle international payroll entries, coordinating with HR departments to ensure accurate and timely processing of payroll for all employees.Account for regular bank clearing activities, monitoring daily transactions and maintaining records for audit purposes.Record monthly bonus accruals and credit card accruals, providing detailed analysis and reports to the management team.Undertake indirect tax accounting for international subsidiaries, staying updated with changes in tax regulations to ensure compliance.Contribute to the enhancement of financial controls and process improvements, actively participating in initiatives to drive efficiency and effectiveness in financial operations.