Prepare monthly division financial reporting using Hyperion and supplemental input.
Support and coordinate intercompany reports for the division including weekly backlog and other SNI reports.
Prepare and process month-end journal entries include all I/C accounts payable accruals for month end close.
Check the accuracy of monthly accruals, and inter-company reconciliation to ensure volume allocations and prices are correct.
Prepare miscellaneous journal entries for re-billing invoices into NAV.
Prepare intercompany billings for regional offices and reconcile to other company offices around the globe.
Work with Accounts Receivable personnel to process transactions related to incoming payments.
Prepare intercompany invoices from affiliate companies for processing by outsourced A/P group, resolve disputed items in a timely manner and on a daily basis.
Daily review of unbilled files in the system. Identify potential issues with items not billed and assist team when required in resolving these issues.
Review and identify I/C invoices, payment requests from customers to determine if payment can be made.