Responsible for the performance of the day to day fixed assets activities by processing complex investment projects as well as the fixed assets closing and reconciliation
Review, validate and post travel and entertainments claims while ensuring their compliance with the corporate standards and local legal requirements
Upload the daily bank statements, check the balances and perform daily and monthly reconciliation
Handle GA monthly & quarterly closing activities with close coordination with the country team
Generate some reports related to the different sub processes and submit them to the stakeholders
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