Internal Job Description Ensure monthly financial close activities are completed within timelines Handling of daily Cash Accounting Operations and preparation / review of monthly account reconciliations with good understanding • Oracle Cash Management module • Bank Reconciliation process management • Reconciling items resolution, & maintaining reconciling items ageing as per Keysight Policy • Posting of Month end Journals and Bank & Other Investment reconciliations Ensure that accounting and operations comply with the Keysight's Accounting and Finance Manual and SOX Controls Coordinating with cross functions (AP, AR, Payroll) and cross-countries Ability to handle multi-tasks and work under pressure and deadlines Good Communication skills (written and oral) Well versed with MS Office Self-driven, positive, flexible towards work and bring innovative ideas to improve the current process Should be a strong team player Job Description Ensure monthly financial close activities are completed
-Source (
Mitula)