Roles & Responsibilities
• Monthly GTN calculations and entries booking
• Support in Monthly closing cycle & reconciliations
• Ensure data is accurate and to provide decision support analysis.
• Partner with A2R to understand Balance Sheet balances, provisions and movements. Ensure alignment and that topics are pro-actively shared and resolved
• Accountable for OPEX management of supporting functions and headcount
• Support BA&C for data updates / uploads, system maintenance
• Support FPL Trade in SISO validation for countries, IBP valuation, uploads in Kinaxis, TM1