Defining, implementing and/or maintaining accounting policies, guidelines, tools and services for all VISHAY entities.
Ensuring, overseeing or advising on accounting activities in sub-ledgers (A/R or A/P accounting, etc.)
Ensuring, preparing or contributing to preparation of periodic reporting's, i.e. (monthly) income, p&l or tax statements.
Overseeing or setting up new accounts, reconciling accounts, and closing the monthly books.
Reconciling bank accounts, verifying deposits, and addressing inquiries from banks.
Verifying payment of invoices and ensuring payments are charged to accounts.
Accomplishing local tax operations according to regulations, and clarifying issues with external accountants
A job at this level…
Adopts and clarifies team setup (e. g. , organization, work assignments, methods and tools) with superior management.
Continuously maintains team's work schedule and organize the team resources respectively.
Provides guidance to team members with respect to the operational procedures applied.
Ensures work documentation if necessary, and a proper reporting for all stakeholder involved.