Responsible for complete and accurate transactions, month-end-closing activities, and the preparation of financial statements and relevant reporting packages for the NI entities within your scope., Analyze and reconcile general ledger account balances, review monthly and annual financial results, and provide explanations of variances, identifying key drivers., Prepare and post journal entries for various transactions including expenses, accruals, taxes, and fixed assets; ensuring properly recorded in the general ledger., Support tax-related activities by providing financial data for calculations and assisting in the preparation of tax returns and reports., Actively involved in statutory and tax audits, respond to ad-hoc financial analysis or reporting requests, and contribute to projects as needed by the business., Identify opportunities to improve accounting processes and internal controls, and contribute to continuous improvement initiatives., Collaborate closely with the Finance Team and other departments to ensure smooth and efficient workflows across the organization.