职位描述
Job Description
The accountant is responsible for bank reconciliation, Balance Sheet Reconciliation, month/quarter/year-end closing and reporting, audit support while enforcing and complying with JLL’s accounting policy and procedures.
Responsibilities:
Ensure all Service Level Agreements are met as per SLA Responsible for monthly closing process/Accounts reconciliation/GL reporting in timely basis. Ensure all accounts are reconciled accurately in a timely manner. Ensure all customers/client queries are responded & resolved within the stipulated Turn Around Time Ensure timely review of work files and follow-up on outstanding issues and actionable items Enforce compliance with Firm's financial, operating policies/procedures and SOX requirements Liaison with internal/external auditors for quarter/year-end audit Stay in good communication with clients and other stakeholders
Sound like the job you’re looking for? Before you apply, it’s also worth knowing what we are looking for:
Requirements:
Bachelor’s degree or above in finance or accounting At least 3 years of Finance related experience in multinational companies. Over 2 years working in GL and well understand BPO business, experience in local finance is a plus Hands on experience on Bank and balance sheets reconciliation and intercompany billing Sound computer skills in Microsoft Word and Excel; Experience in ERP system is a plus High self-motivated and good working attitude. Capability of interpersonal skills, and relationship building. Good communication skills in English, CET 4 equivalent
What you can expect from us
You’ll join an entrepreneurial, inclusive culture. One where we succeed together – across the desk and around the globe. Where like-minded people work naturally together to achieve great things.
Keep your ambitions in sight and imagine where JLL can take you...
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