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Obtain background data from client's current Accounting software, regarding Trial Balance, Profit & Loss Statements, Balance Sheets, Bank Reconciliation reports.
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Prepare these financialdata load files and migrate from old system to current ERP
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Reconcile the Books of Accounts in the recent ERP
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Use various tools and processes to complete Financial and Non-financial data migrations from other software packages into our product.
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Participate in detaileddesign and product test execution as required.
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Must have excellent MS Excel skills & at least 4 years of experience in accounting.
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Excellent written & verbal communication.
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When needed, take callsin the evening from home.
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