Performs accounting activities which may include General Ledger, Fixed Assets, Inter-Company, VAT reporting transactions, Accounts Payable and Accounts Receivable;
Processes and check journals according to the defined procedures and accounting principles and legislation;
Produces routine reports, schedules, and summaries for management;
Scans statements, ledgers, and accounts to identify unusual or overdue items and selects the correct procedure to verify or adjust discrepancies or errors;
Responds to specific questions from business stake holders and clarifies situations when necessary;
Provides accurate analysis of reconciliation records to third party documents;
Ensure all journal entries comply with internal and external audit specifications;
Meet country and Honeywell internal deadlines.