Assist in performing bank reconciliations by comparing bank statements with accounting records and identifying discrepancies.
Support the investigation and resolution of unreconciled items by coordinating with internal stakeholders such as Treasury, R2R, P2P, and O2C teams.
Maintain reconciliation records, supporting schedules, and documentation required for month-end close activities.
Review bank transactions to ensure accuracy, completeness, timely reporting, and compliance with internal controls.
Prepare reports, trackers, and reconciliations using MS Excel while supporting adherence to process timelines and SLA requirements.
Assist in identifying process improvement prospects and support compliance with internal controls and accounting policies.
Perform other accounting and reconciliation-related activities as assigned by the team.
Support audit requirements by preparing schedules, providing documentation, and ensuring timely closure of audit-related deliverables.
📌 Finance Intern Mumbai
🏢 Saint-Gobain
📍 Mumbai
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