Senior Consultant International Accounting

Year    Pune, Maharashtra, India

Job Description


: With unmatched technology and category-defining innovation, Icertis pushes the boundaries of what\'s possible with contract lifecycle management (CLM). The AI-powered, analyst-validated Icertis Contract Intelligence (ICI) platform turns contracts from static documents into strategic advantage by structuring and connecting the critical contract information that defines how an organization runs. Today, the world\'s most iconic brands and disruptive innovators trust Icertis to fully realize the intent of their combined 7.5 million+ contracts worth more than $1 trillion, in 40+ languages and 90+ countries. Who we are: Icertis is the only contract intelligence platform companies trust to keep them out in front, now and in the future. Our unwavering commitment to contract intelligence is grounded in our FORTE values-Fairness, Openness, Respect, Teamwork and Execution-which guide all our interactions with employees, customers, partners and stakeholders. Because in our mission to be the contract intelligence platform of the world, we believe how we get there is as important as the destination This is a critical role in International Accounting and Compliance team with primary responsibility of month end close, General Ledger accounting and review, and supporting tax compliances in the region, with a Manager Accounting and work closely with Finance Director, external consultants, and US/Europe counterparts. Responsibilities: Responsible for timely and accurate month close activities for all EMEA Entities(spread across Europe and Asia and expected to grow ). Prepare month close journal entries in NetSuite in compliance with internal guidelines, USGAAP and respective local GAAP for supported country/legal entity. Make bank payments on bank Portals & application of payments in Netsuite. Prepare Balance sheet reconciliations, prepare & track monthly accruals. Perform month end reconciliation, variance/flux analysis and ensure adherence to internal month end close process and procedures. Payroll input & output verification including preparation of monthly/YTD employee benefits accruals such as bonus, Responsible for timely and accurate month close activities for all EMEA Entities (spread across Europe and Asia and expected to grow ). Prepare month close journal entries in NetSuite in compliance with internal guidelines, US GAAP and respective local GAAP for supported country/legal entity. Make bank payments on bank Portals & application of payments in Netsuite. Prepare Balance sheet reconciliations, prepare & track monthly accruals. Perform month end reconciliation, variance/flux analysis and ensure adherence to internal month end close process and procedures. Payroll input & output verification including preparation of monthly/YTD employee benefits accruals such as bonus, vacation etc. and ensure completeness and accuracy of supporting workings. Assist reporting manager to streamline accounting procedures, establish better controls, assist accounting manager in policy formation and implementation of standard operating practices for adherence to policies and procedures. Perform fixed assets related accounting including but not limited to asset capitalization, retirement, posting depreciation and perform roll forwards activities including month end and periodical asset register reporting. Review the fortnightly bank statements and carry out bank reconciliation in a timely manner. Oversee employee reimbursement process to ensure data consistency across Concur and Net Suite, intervening and liaising with employees for any queries, information, or documents. Preparation of information for monthly/quarterly VAT payment and Return filing for EMEA region. Support periodical internal, external and tax audits by producing timely, relevant, and meaningful audit working papers for auditor\'s review. Actively liaising with corporate tax consultant and sharing information or validating the drafts shared by consultants for corporate tax filing/payment. Be part of any additional projects or tasks assigned for process improvements or accounting standard adoption initiatives. Thorough knowledge & hands-on experience in Record-to-Report (R-2-R) process in similar set-up Posting and matching of inter-company transactions and balances. Qualifications: At-least 4-6yearsofprovenexperience inR2R(ReporttoReport)sharedservicessetuphandling month close process and accounting in multi-location, multi-currency set up. Strongunderstandingofaccountingconceptssuchasgeneralledger,balancesheetaccount reconciliations and vendor and customer close processes, financial statement preparation. HandsonexperienceofmanagingcompliancesforEMEAregionwillbeaddedadvantage,(e.g. Germany, France, UK, Sweden and Australia). WorkingexperienceofNetSuiteandConcurwillbeadded advantage. Educationalqualifications:Graduate/PostgraduateinAccounting/Finance. WorkingknowledgeofMSOfficeanddatabases,verygoodinMS-Excel(workingonlarge data sets). Excellentcommunicationandinterpersonalskills. Problem-solvingandcritical-thinkingskills. Flexible to take late evening calls with the EMEA / US teams is necessary Astrongteamplayerwithapositive,service-orientedattitudewhodrivesprocessimprovements to increase effectiveness of the team and minimize room for errors.

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Job Detail

  • Job Id
    JD3012226
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Pune, Maharashtra, India
  • Education
    Not mentioned
  • Experience
    Year