Execute the on-progress activities in Financial Accounting & Reporting to provide the Balance Sheet Reconciliation; initiate to ensure the inventory transactions are recorded accurately; execute the Operations Month End Closing Process; initiate to perform Monthly Balance Sheet Reconciliation of Inventory, to ensure the financial statement is provided in an accurate and timely manner and prevent the possibility of fraud. Deliver reports of Weekly Inventory Finished Goods and Finished Goods in Transit Transactions Analysis, and a comprehensive report of the Month End Closing Process. Manage and be responsible for several operations aligned with the job title as an Operation Accounting Analyst.
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