Research, reconcile, and update financial transactions
Processing and posting of journal entries for all kinds of transactions.
General ledgers as well as balance sheet heads reconciliations.
Recording and maintaining various processes related to Accounts Receivable and Payables
Processing of invoices for various vendors and it\xe2\x80\x99s reconciliations.
Update transactions details in database/applications
Prepare reports and perform variance analysis of financial statements
Prepare and perform tasks related to preparation of schedules related to financial statements
Take lead in troubleshooting and resolving day to day issues
Assist and supervise other team members and keep track of day to day deliverables
Learn & implement the Accounting standards / US GAAP / SAP guidelines to show comply with disclosures in financial statements
Qualifications: 5-6 years of relevant work experience in Finance/Accounts function, preferably in an offshore set-up with Commerce graduation/post-graduation. CA/ICWA Intermediate is preferred Additional Information: This role requires the candidate to work in US shift (i.e. Night shift in India from 6.30pm onwards)
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