Working hours: 8.30am to 5.30pm, Mondays to Fridays
3 to 6 months Contract position
Our Client is a leader in the production of specialty chemicals for use in polyethylene, lubricants, fuel additives, surfactants, and other specialty materials
Job Responsibilities:
Responsible for the timely entry and payment of vendor invoices including T&E.
Responsible for time application of cash receipts
Responsible for weekly and monthly cash reporting and forecasting.
Responsible for intercompany billing/reconciliations, tax filings, audits, and ensuring compliance with best accounting practices.
Work closely with US treasury team for timely delivery of reports and funds transfers.
Support Finance Manager-Asia with audits and reporting.
Provide support for the execution of SAP projects.
Provide support for month-end and year-end closing activities and forecasting.
Support the Finance Manager as well as be responsive to Finance Leadership in the USA.
Requirements:
Degree in Business, Finance, or related field required.
Minimum 5 years cash management in a business setting.
Experience in understanding impact of foreign currency translations on business.
Experience in SAP and Microsoft Office products EXCEL, PowerPoint, Word, and Outlook