Description et exigences
Global Securities Accounting is a team responsible for accounting & reconciliation of Metlife’s investment in securities. The team at GCC handles Daily reconciliation of cash, Interest Due, Suspense and Asset holdings via Reconnect. Process includes Principal & Interest Accounting, researching and resolving un-reconciled activity, recording of necessary adjustments,explaining variances and working with brokers to resolve cash issues, related to USD and foreign currencies, penny write off, spot gains/losses, interest payments, custody fee etc. Applications used include PeopleSoft, PAM, ReconNet and other internal MetLife Applications.
Key responsibilities
1. Accounting, Reporting & Reconciliations for various invested asset classes.
2. Team Handling
3. Investigate, resolve, and reconcile outstanding balances/ items.
4. Analyze, research & review all discrepancies.
5. Plan workflows for all deliverables in advance of month/ quarter end.
6. Analyze and report interrelationships of financial information.
7. Support financial analysis/reporting and research of outstanding items.
8. Self-Starter & Self-motivated, well organized, and flexible with a sense of urgency approach
9. Ability to find creative and innovative solutions to business problems.
10. Strong organizational and project management skills.
Education & Technical skillset
- CA with 10+ years of experience
- Knowledge of Accounting and Securities
- Excellent Excel knowledge
- Analytical and interpersonal skills.
- Data gathering ability/ Eye for detail.
- Team management/ Managing Self / Adaptability.
- Knowledge about US Culture.
- Ability to work successfully in production driven environment.
- Ability to work on routine/standardized transactions.