Job Description

Your Responsibilities, Impact & Contribution


• Perform monthly bank reconciliations across multiple currencies and entities.

• Investigate and resolve reconciling items promptly or provide clear explanations for outstanding items.

• Collaborate with Accounts Payable and other teams to follow up on open items.

• Maintain and reconcile intercompany schedules for designated EMEA entities.

• Ensure timely and accurate invoicing between entities.

• Support quarterly intercompany repayments and ensure proper documentation.

• Assist with FX validation, intercompany netting, and other month-end tasks.

• Support the team during busy periods and contribute to audit preparation.

• Work with accountants to enhance processes and strengthen internal controls.

• Build strong relationships with internal departments including AP, Payroll, Treasury, and Commercial teams.

• Participate in financi...

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