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R2R Associate

R2R Associate

Atos International
1-5 Years
Not Disclosed
Early Applicant
  • Posted 6 days ago
  • Be among the first 20 applicants

Job Description

Location - Chennai (Siruseri)

Flexi to WFO

Shift - 12.30pm to 11pm

Immediate Joiners/Lesser Notice period candidates only required

Roles & Responsibilities:

  • Strong Exposure to entire GL process
  • Hand on experience in Inter company Reconciliation, General Ledger, Reconciliation, Fixed Assets
  • Deliver as per month end close calendar. Deliver Month-end reporting in line with accounting standards and Group guidelines.
  • Perform advanced reconciliations / prepare monthly deliverables to the Management group for various financial reports like prepayments, accruals, restructuring etc.
  • Monthly reconciliation to ensure that there is no revenue leakage.
  • Perform various analysis for GBU's and suggest required adjusting journals.
  • Responsible for the full Balance Sheet and P&L including monthly revenue accounting entries in local books. Prepare and review monthly Balance Sheet reconciliations. Analysis of Balance Sheet and Income Statement.
  • Review of Bank reconciliation and open item management.
  • Responsible for Group reporting in Magnitude and ensuring that local books reconcile with the Group reporting -
  • Review Statutory reconciliation & IFRS reconciliations
  • Update work allocation matrix on completion of tasks on hand to measure performance / prepare

Desired Candidate Profile:

  • Masters / Bachelor's degree in finance/accounting or related field.
  • 1 - 5 yrs relevant experience
  • Excellent exposure on SAP FICO End User,
  • Work experience in GL Area , excellent double entry accounting knowledge, Good exposure to concepts in finance and accounting.
  • Effective written and verbal communication skills.

More Info

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Industry:
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Key Skills

Inter company Reconciliation

Month-end reporting

IFRS reconciliations

About Company

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1-5 yrs
Chennai, India
Skills:
Sap Fico, Statutory reconciliation, Balance Sheet reconciliations, Inter company Reconciliation, Month-end reporting, General Ledger Reconciliation, IFRS reconciliations, Fixed Assets