• Manage the day-to-day process and activities of Intercompany and compliance support tower
• Perform review and analysis of daily, monthly, quarterly, and annual Intercompany tasks in compliance with accounting policies
• Perform analysis of Intercompany accounts and prepare related reconciliations
• Perform review and provide support, needed information/input to PEZA and Tax in relation to their government reporting
• Ensure the timely creation, maintenance and close of SAP tables and charge codes
• Handle intercompany queries and resolve issues within deadlines
• Perform mark-up analysis and propose adjustments, as needed
• Assist and provide controller, finance leads and other members of the finance team with financial analysis and intercompany accounting information
• Contribute to process improvements and initiatives
• Document process improvements and process flows
• Others – adhoc reports OTHERS: