Inter-company Accounting - Obtain IC invoices and supporting documents from IC partners. - Accrual of IC invoices not processed. - Reconcile IC balances with other IC partners. - Balance GL to IC AR and IC AP sub-system balances. - Monthly reconciliation of all IC AR and IC AP ledger accounts. - Process recharge invoices to other IC partners in the group. General Ledger and Month End Reporting - Prepare and process all relevant journals with appropriate supporting information. - Maintain Balance Sheet Reconciliations in line with corporate requirements. - Follow up on corrections and clearing of any required balance sheet reconciling items within appropriate timelines. - Carry out monthly close procedures. - Preparation of financial information and supporting schedules according to monthly close schedule. - Provide Operations with all financial information and analysis to support management decisions. - Support any required ad-hoc requests and ...