Job Description
Key Responsibilities
- Perform month-end close activities and revenue de-recognition within strict timelines.
- Manage lease accounting and reconcile Nakisa subledger with the general ledger.
- Post manual journal entries (JEs) with appropriate local team approvals.
- Analyze and post monthly expense accruals/amortization JEs.
- Run currency revaluation and manage exchange rate updates.
- Handle cost allocations, PCA allocations, and under/over recovery analysis.
- Maintain end-to-end Fixed Asset (FA) register, including CIP tracking and footnote reporting.
- Process FA additions, transfers, disposals, and ensure accounting accuracy.
- Perform bank and balance sheet account reconciliations as per policy.
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