Finance Operations Officer - Client Accounting
Job Description
End to end client accounting:
- Updating all key deal terms (Agreement Amount, Tenure, Interest Rate, Interest reset details etc.) in the Loan Management System
- Providing calculation of upfront fees alongwith the applicable taxes
- Drawing of repayment schedule and amendment thereof on each disbursement.
- Validating applicability of Additional interest & other commercial T&C.
- Appropriation of receipts and recording of all accounting related entries in Loan Management System.
- Ensure there are no revenue leakages and operational errors and omissions
Interface with the Customers:
- Issuing Balance Confirmations to all accounts & following up for acknowledged copies from the client.
- Obtaining timely TDS Certificates and reconciliation of TDS Credit in books of A/c with Form 26 AS
- Issuance of pending TDS certificates to the clients
- On satisfaction of entire dues, accounts are properly terminated in the Loan Management System & No Dues Certificate is issued.
- Co-ordination with Internal / External Stakeholders:
- Coordination with Treasury & Investment team for the planned disbursement schedule, actual disbursement, receivables for Asset Liability Mismatch (ALM)
- Resolution of audit queries on timely basis
- Interact with Investment or clients for resolution of queries w.r.t reconciliation issues
MIS & Reports:
- Publishing timely MIS on set frequency basis for early warning signals wherein there has been delay in the collection of receivables etc
- Providing data to auditors, regulators, rating agencies.
- Share reports with Internal & Statutory Auditors for smooth conduct of processes.
Process Improvisation:
- Providing solutions / business requirement documents for automation of the processes
- Functional support for enhancement of the system by doing user application testing of the processes being developed
Desired Candidate Profile -
- Sound knowledge of wholesale financial services domain and strong understanding of wholesale financial service operations
- 2+ years of experience in end to end client accounting for lending platform
- Prior experience in handling aspects of audit, compliance, maintaining accounts would be preferred
- Well versed with Companies Act, 2013, Accounting Standards issued by ICAI and RBI Guidelines would be preferred
- Strong understanding of loan lifecycle and credit operations
- Strong proficiency in MS Excel, experience with use of technology systems
- Ability to multi-task, work successfully under pressure, effectively manage time & workload
- Attention to detail, ownership of issues, determination to follow through with urgency
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