概要と必要条件
Job Responsibilities |
· Experience required in Cash and Disbursement/Check reconciliations, reporting, general accounting · Perform research on variances by using various reconciliation tools and applications. · Follow-up with banks and lines of business at client-end for closure of accounting open items · Maintain data and records in accordance with generally accepted accounting principles and reporting requirements. · Produce monthly reconciliation statements and various financial reports. · Perform Pay/No Pay decisions on the checks in exception by using decision making and analytical skills. · Conduct and Lead SOX walkthroughs for Internal Audit · Knowledge of end-to-end reconciliation cycle · Ability to work in multiple shift timings as per business requirement. · Ensure that the assigned targets are met in accordance with SLA and Internal standards. · Perform and review of reconciliations · Experience in handling queries & requests from external auditors. · Prior experience of applications like PeopleSoft and ReconNet (Advantage)
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Knowledge, Skills and Abilities | |
· Graduate in Accounting (Commerce Graduate)
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· Professional from the Operations with at least 7+ years’ working experience · Knowledge of applications like ReconNet, Oracle Suite, CUBUS, Cadency. Knowledge of Advance Excel, Power Automate and Query (Advantage) |
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· Knowledge and skills (general and technical) Strong knowledge of accounting principles · Knowledge of end-to-end reconciliation cycle · Analytical and decision-making skills. · Ensure that the quality of transactions is in compliance with predefined parameters as defined by Process Excellence. · Provide feedback to the team members. · Lead discussions with Stateside teams on various forums like review meetings, weekly virtual huddles etc. · Knowledge of Lean principles and application. · Prior experience of working on applications like PeopleSoft and ReconNet |
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