Posted By
Posted in
Banking & Finance
Job Code
1127260
1. Responsible for Monthly book closure, reconciliation between books and MIS.
2. Liaising with central finance & accounts team for appropriate closure
3. Managing internal and stat audit, IndAs compliance, preparing financial statements
4. Ensuring tax compliance
5. Managing the P2P process and suggesting ways to build inefficiency
5. Liaising with cross functional team on a regular basis
6. Implement and suggest processes for strengthening control and cutting inefficiency
7. Responsible to maintain the data confidentiality and adherence to the risk management policy by the team members.
Desired Candidate Profile
1. CA/ACCA/CIA with 3 to 4 years' experience of working for corporate clients
2. Experience in handling book closure and financial reporting
3. Excellent communication and presentation skills
4. Okay with contractual role for 6 months
Didn’t find the job appropriate? Report this Job
Posted By
Posted in
Banking & Finance
Job Code
1127260