The core purpose of Entity Controller role is to be responsible for the accounting and reporting activities of certain Travelport operating companies, and to understand the accounting, business, and operations, including analysing and explaining P&L and balance sheet variances in detail. Additionally, this role is responsible to the Regional Managers, onshore managers of those entities for the completeness, accuracy and on-time filing of the statutory financial statements. The role would include managing and closing complete recording of books of accounts which would include AP, AR, and FA sub ledger close, Payroll, Intercompany, Cash & Bank clearing and Balance Sheet Reconciliations.
Main Accountabilities:
Responsible for managing legal entities accounting operation evidencing, and complying to key accounting controls
Management of month, quarter, and year-end close timetable, ensuring bottlenecks are resol ved and escalating issues as appropriate. Executing the consolidation and closing of the books
Thorough review of trial balance, detailed revenue, cost of revenue, operating expense and balance sheet variance and trend analysis
Responsible for the accounting for complex transactions, directing the functional work of team members as appropriate. Identify and correct any accounting issues as they occur
Review/Approve and/or prepare complex manual journal entries required to complete month-end and annual accounts and to ensure the accuracy and timely posting of entries from sub-ledgers and other entry sources.
Produce and present monthly legal entity reporting packs providing Balance Sheet and P&L analysis and supporting commentary.
Provide accurate financial accounting information and analysis to other interested parties including decision support, tax, controllership and senior management.
Perform Indirect Tax calculations, review and submission of tax returns. Perform balance sheet tax reconciliation
Co-ordination of legal entity activity and collaborating with sub-ledger teams and key internal teams
Maintain accurate Balance Sheet reconciliation throughout the month end timetable and clear open item and reconciling variances
Involvement in preparation/ review / approval/ maintaining quality reconciliations submitted. Publishing periodic report for all open and reconciling items with definite clearing actions
Liaising with onshore partners and providing complete visibility of the month end tasks at regular intervals during close periods to all stakeholders
Lead role in managing external audit and financial statement filings and other compliance deliverables.
Prepare, update accurate process documentation, including standard operating procedures and send for review. Adhering to KPIs and performance against SLA's
Location
NCR
Job Function
BUSINESS PROCESS SERVICES
Role
Support Executive
Job Id
382246
Desired Skills
Finance and Accounting
Desired Candidate Profile
Qualifications
: BACHELOR OF COMMERCE
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