Posted By
Posted in
Banking & Finance
Job Code
328896
Explore your interest in an opportunity with leading MNC Captive Unit to be based at Chennai.
Accountability :
- Prepare balance sheet reconciliation on a timely/monthly basis for all designated entities, ensuring a robust balance sheet reconciliation process is in place and adhered to
- Complete monthly financial close process, including finalization of actual, month on month analytical review to support the integrity of the actual's.
- Prepare statutory and regulatory reports / returns to ensure timely and accurate submission of reports to APRA & other regulatory authorities.
- Support auditor requests and queries are responded to on a timely basis.
- Support Ad Hoc requests for data mining and analysis.
- Develop and Maintain effective relationships with key stakeholders (onshore Finance Controller-ship teams) ensuring all needs are delivered.
- Provide accurate inputs for monthly financial result discussions with key stakeholders.
- Ensure the accuracy of accounting outputs, by guaranteeing processes adhere to compliance and control disciplines as outlined in the Accounting Standards Manual and other Group policies and procedures.
Skills, Qualification & Experience :
- Strong analytical and technical skills with high attention to detail
- Experience of working in GL related processes in Banking / Financial Services Industry
- Good communication skills (both written and oral)
- Show flexibility and ability to adapt to changing work environment and requirements, work under pressure to meet tight deadlines
- This is an opportunity to undertake a role offering exceptional opportunities for professional development with a broad range of career paths.
Lakshmi , AVTAR Career Creators
044 -42941208
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Posted By
Posted in
Banking & Finance
Job Code
328896