Working at NTT
The role will have varied responsibilities:
- Overseeing the general ledger, accounts payable and cash management functions and ensure that they are optimally executed on the available systems.
- Ensuring that the required reports are produced and analysed, including statutory reports and management accounts.
- Assisting with the development and compilation of the management pack, which includes compiling output reports and review submissions made by others
- Performing and reviewing reconciliations as part of month end close
- Calculation of month end journals
- Preparation and lodgment of GST/BAS
- Perform Intercompany account reconciliation and confirmations with related parties worldwide