The Opportunity Sharp Process all financial transactions, including transfers, receipts, payments, refunds, unclaimed funds, and dormant balances.
Complete daily, weekly, and monthly reconciliations to ensure accurate financial reporting.
Manage the opening, closing, and reconciliation of investment accounts.
Prepare and review journal entries and general ledger postings.
Assist with month-end and year-end close processes.
Monitor and report on cash flow, ensuring timely payments and receipts.
Liaise with internal teams, clients, and external partners to resolve accounting queries.
Contribute to team projects and support a collaborative and learning-focused finance environment.
Skills