Support general ledger accounting for respective entities Post the accrual and corrective journal entries, Operate lease accounting transactions via NAKISA tool, Complete specific month end close tasks, Prepare specifications and reconciliations of the general ledger accounts, Support fixed assets accounting activities for the entities, Support Intercompany accounting with debit notes postings,Support monthly, quarterly and annual reporting required by the region, Contribute to continuous improvement initiatives within the R2R function, Ensure robust compliance environment with applicable policies, procedures and processes, Build strong relationship with team members.