• Perform analysis of Intercompany accounts and prepare related reconciliations.
• Provide support, needed information/input to PEZA and Tax in relation to their government reporting.
• Create, maintain and close SAP tables and charge codes with respect to intercompany and compliance support activities.
• 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 accurate intercompany accounting information.
• Contribute to process improvements and initiatives.
• Document process improvements and process flows.
Equal Employment Opportunity Statement
Accenture is committed to providing veteran employment opportunities to our service men and women.