Financial Reviewer
Current- Understanding business needs and ensuring that processes are aligned and compliant.
- Ensuring service level agreements are met such as meeting reporting timelines, and upholding the quality of financial information.
- Maintaining monthly financial statements and reports.
- Reconciling Intercompany transactions and ensuring that the netting is performed on amonthly basis.
- Performing the reconciliation for all P&L accounts including payroll P&L Account for each
- Restaurant assigned and resolving queries based on the client’s Clarification.