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Job Description & How to Apply Below
This role reports to the Controller and involves preparing journal entries, account reconciliations, and processing key financial transactions. You will interact with a dedicated finance team, gaining exposure to evolving processes in a private equity environment. Effective communication and a detail-oriented approach are crucial.
Key Responsibilities:
• Perform journal entry preparation and postings for accuracy
• Reconcile balance sheet accounts and assess discrepancies
• Review expense reports and manage petty cash transactions
• Assist in the monthly close and support trial balance preparation
• Collaborate on variance analysis and maintain accurate records
Requirements:
• Post-secondary degree in Accounting or Finance
• 1–3 years of pertinent accounting experience
• Understanding of accounting principles and Excel proficiency
• ERP experience, preferably with Microsoft Dynamics 365
• Comfortable learning new tools, including AI-based systems
Contribute your analytical skills and attention to detail at Total Power Limited.
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