Finance Analyst at Sherwin-Williams
Kuala Lumpur, Kuala Lumpur, Malaysia -
Full Time


Start Date

Immediate

Expiry Date

14 Sep, 26

Salary

0.0

Posted On

16 Jun, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

General Ledger, Balance Sheet Reconciliations, GAAP, Microsoft Excel, Microsoft Word, Microsoft PowerPoint, Financial Data Processing, Communication Skills, Problem Solving, Time Management, Attention To Detail, Interpersonal Skills

Industry

Paint;Coating;and Adhesive Manufacturing

Description
Sherwin Business Services – General Accounts (SBS-GA) is responsible for gathering, processing and verifying financial data, reconciling and ensuring the accuracy of financial information, and providing information for required stakeholders. This position will serve a key role in SBS-GA team across the various global regions and is responsible for transaction processing such as General Ledger monthly close, balance sheet reconciliations and policy compliance.  The successful applicant will be flexible and tenacious, self-motivated with excellent communication skills. Accuracy and attention to detail is paramount. At Sherwin-Williams, our purpose is to inspire and improve the world by coloring and protecting what matters. Our paints, coatings and innovative solutions make the places and spaces in our world brighter and stronger. Your skills, talent and passion make it possible to live this purpose, and for customers and our business to achieve great results. Sherwin-Williams is a place that takes its stability, growth and momentum and translates it to possibility for our people. Our people are behind the strength of our success, and we invest and support you in: Life … with rewards, benefits and the flexibility to enhance your health and well-being Career … with opportunities to learn, develop new skills and grow your contribution Connection … with an inclusive team and commitment to our own and broader communities It's all here for you... let's Create Your Possible
Responsibilities
Responsible for gathering, processing, and verifying financial data to ensure accuracy for stakeholders. Key tasks include managing General Ledger monthly closes, balance sheet reconciliations, and ensuring policy compliance.
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