Chrysos Corporation Limited
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Responsible for processing, reconciling, and reporting all intercompany transactions across a multi-entity global group. Prepare eliminations and intercompany journals, manage loan balances and FX revaluations, maintain agreements and ageing schedules, support consolidation and audits, and drive intercompany policy, process and ERP improvements (NetSuite). Liaise with regional finance teams to resolve variances and ensure compliance with IFRS/AASB and local statutory requirements.
