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...

Apply for this Position

Ready to join Allegis Global Solutions? Click the button below to submit your application.

Submit Application