You will be aligned with our Finance Operations vertical and will be helping us in determining financial outcomes by collecting operational data/reports, whilst conducting analysis and reconciling transactions. Posting journal entries, preparing balance sheet reconciliations, reviewing entries and reconciliations, preparing cash forecasting statement, supporting month end closing, preparing reports and supports in audits. Involves balancing all balance sheet accounts against sub-ledger or other non-general ledger based source data to verify whether the balance sheet accounts are in balance with the source system feeding the general ledger. Differences which arise are addressed as reconciling items.
• Adaptable and flexible
• Ability to perform under pressure
• Analytical and problem solving skills
• Good Verbal Communication Skills
• Good Understanding of Record To Report
• Good Understanding of Balance Sheet Reconciliations
• Good Written Communication
• MS Office
• Team working
• Reporting Activities
• Intercompany, Reconciliation
• SAP
• Knowledge of current technologies in RTR domain
• Understanding of RPAs
Roles and responsibilities:
• In this role, you are required to solve routine problems, largely through precedent and referral to general guidelines
• Your expected interactions are within your team and direct supervisor
• You will interact with client on need basis and need to adhere to basic principles of communication.
• You will be provided detailed to a moderate level of instruction on daily work tasks and detailed instruction on new assignments and the decisions that you make that would impact your work
• You will need to be well versed with basic Accounting and terms involved in the day to day business and use it while discussing with stakeholders
• You will be required to help in the overall team’s workload by managing your deliverables and help the team when required
• You will be an individual contributor as a part of a team, with a predetermined focused scope of work
Any Graduation