Your Responsibilities :
This role gives YOU the opportunity to lead key activities to progress YOUR career, the main of these are :
Interfacing and partnering with many internal and external clients at many levels within each client group (operating companies in United Stated, Puerto Rico and Canada, colleagues in Treasury Global Team and Indian Treasury team).
Primary point-of-contact in North America to the Treasury / Cash Management interface points (Banks, GSK business units, GSK Corporate departments, and the Cash Management process stakeholders Order to Cash (O2C) / Accounts Receivable, purchase to pay (P2P) / Payables and Travel and Expenses, Record to report (R2R) / General Ledger (GL) and Reconciliations, Tax, Benefits and Payroll).
This role is a key player in assuring adherence to Compliance and Governance (documenting policies and procedures, internal controls, Banking Resolutions and Authorized signers’ lists, and risk management)
Analyse, Review, register and reconcile payroll and financial information for accuracy.
Assist with monthly general ledger closing processes and procedures.
Basic Qualifications :
We are looking for professionals with these characteristics to achieve our goals :
Degree in Accounting / Business Administration / Finance.
Microsoft Office- Advanced Excel (macros).
Advanced English Level.
Relevant experience working with payroll of North America, Accounting or finance on a shared service center. (2 years)
Knowledge of SAP.
Good Stakeholder and Customer management skills.
Data Analytics Skills.
Critic view and challenging criteria.
Detail oriented, high rate of accountability.
Preferred Qualifications :
However, if you have the following, it would be a plus :
Certified Treasury Professional (CTP) credential will be a plus.
If you feel this is your next career move, please apply up to November 30TH, 2020.