Job DescriptionKey Result Areas NFINANCIAL CONSOLIDATION &HYPERION; REPORTING N
- Prepare monthly, quarterly, and annual consolidated financial statements for the Holding Company and SPVs. N
- Upload, validate, and reconcile financial data in Hyperion reporting systems. N
- Ensure accuracy of consolidation entries, eliminations, and adjustments within reporting timelines. NMONTH-END AND YEAR-END CLOSURE N
- Support timely closure of books across SPVs in coordination with finance teams. N
- Review trial balances, schedules, and reconciliations before consolidation. NINTERCOMPANY RECONCILIATIONS N
- Perform reconciliation of intercompany balances and transactions across entities. N
- Coordinate with stakeholders for timely resolution of mismatches and open items. NMIS AND MANAGEMENT REPORTING N
- Prepare MIS reports, variance analysis, dashboards, and management presentations. N
- Support budgeting, forecasting, and analytical reporting requirements. NSTATUTORY AND IND AS COMPLIANCE N
- Ensure compliance with Ind AS, accounting policies, and Companies Act requirements. N
- Assist in implementation of revised accounting and reporting standards. NAUDIT COORDINATIONn
- Support statutory audits, internal audits, and limited reviews by preparing schedules and supporting documents. N
- Coordinate with auditors for consolidation and reporting-related queries. NERP / HYPERION DATA MANAGEMENT N
- Ensure accuracy and completeness of financial data uploaded into ERP and Hyperion systems. N
- Support system validations, mapping reviews, and reporting controls. NPROCESS IMPROVEMENT & CONTROLS N
- Identify opportunities for automation and process optimization in consolidation and reporting activities. N
- Ensure adherence to internal financial controls and reporting governance.
📌 Financial Consolidation Team Member (Alibag)
🏢 Aditya Birla Renewables
📍 Alibag
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