• Process service invoices
  • Ensure payment follow-up from our customers
  • Support Vendor Invoice Management
  • Bank account management as well as reconciliation
  • Management and posting of Accruals with Accrual report
  • Prepare & post Payroll specific postings
  • Ensure Balance Sheet accounts reconciliations
  • Support with monthly and annual financial statements
  • Intercompany reconciliations
  • VAT reporting
  • Provide support for new projects