Manage the reconciliation process for all ESS project-related accounts, ensuring accurate reporting of revenues, and project progress. Ensure alignment with customer purchase orders and project contracts.
Oversee the timely and accurate preparation, verification, and processing of invoices for battery storage customers.
Maintain precise records and proactively resolve any discrepancies in collaboration with the project management team.
Collaborate with other departments to track invoice reporting, optimize accounts receivable (AR), and improve financial outcomes for battery storage projects.
Assist in preparing for annual audits by reconciling ESS-related accounts, addressing discrepancies, and ensuring compliance with both internal policies and external regulations.
Identify opportunities to streamline and enhance invoicing, reconciliation, and financial reporting procedures specific to battery storage projects, driving efficiency and accuracy across accounting functions.
Perform other accounting duties as required, ensuring operational flexibility and maintaining high-quality financial management within the ESS division.