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Service Delivery Associate – Record to Report
Antal International - Egypt
Egypt
30+ days ago
2025/03/13
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Job Description
Key Responsibilities:
Process and record financial transactions, including journal entries, accruals, and adjustments, in accordance with accounting policies and procedures
Record and process intercompany transactions, including intercompany sales, purchases, and allocations
Perform regular reconciliations of intercompany accounts to ensure accuracy and resolve any discrepancies
Maintain and update the general ledger, ensuring accurate and up-to-date financial records
Implement controls to prevent and detect errors within the general ledger
Lead and facilitate the month-end and year-end close processes, coordinating activities with internal teams to meet deadlines
Ensure all necessary accruals and adjustments are made during the close process
Conduct regular reconciliations of balance sheet accounts, identifying and resolving discrepancies
Post accurate and timely financial numbers on the system, prepare draft monthly, quarterly, and annual statements
Ensure compliance with accounting standards and regulations (UAE, Egypt and EU, particularly Netherlands), and company policies in financial reporting
Provide support for internal and external audits, including preparing documentation and responding to auditor inquiries
Collaborate with various departments to address issues related to reconciliations and ensure accuracy
Financial Reporting Accuracy, Percentage of financial reports delivered without material errors or discrepancies
Reconciliation Timeliness, Measure the time taken to complete reconciliations, ensuring they are performed within established timelines
General Ledger Accuracy, Monitor the accuracy of entries and transactions within the general ledger
Timeliness of Close: Measure the efficiency and effectiveness of month-end and yearend close processes
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