Capgemini Mega Recruitment Drive Finance Professionals (Kolkata)
Capgemini is conducting a Diversity Hiring Recruitment Event for Finance professionals in Accounts Payable (PTP), Record to Report (R2R), and Order to Cash (O2C).
- Night-shift flexibility is mandatory for Finance roles
Key Responsibilities
- Demonstrate developing knowledge of the structure of the systems and modules used in service delivery in the specific area and the Automation Drive Suit & DGEM Tech offer
- Have good knowledge of the process, policies and desk top procedures within their engagement
- Identify simple ideas that add value to day-to-day operations or tasks and makes improvements to process within own area of remit
- Demonstrate developing knowledge of the structure of the systems and modules used in service delivery in the specific area and the Automation Drive Suit & DGEM Tech offer.
- Have valuable knowledge of the process,
policies and desk top procedures within their engagement
- Identify simple ideas that add value to day-to-day operations or tasks and makes improvements to process within own area of remit
- Manage customer queries and dispute resolution
- Prepares payment batches and post to correct companies
- Applies payment and code correctly to ensure line item payment & reconciliation.
- Ensure that the daily activities within his/her responsibilities are fulfilled properly and timely in accordance with Desktop Procedures and SLA targets.
- Receive invoices, perform necessary validations and execute transactions with timeliness. Verifies and processes system invoices as well as requests for payment.
- Process payment run including check, EFT, ACH, wire transfers and other source payments
- Establish and maintain a robust governance framework for the RTR, FP&A; & PTP process
- Define standard operating procedures (SOPs), policies, and control guidelines
- Ensure alignment with organizational and regulatory requirements (GAAP/IFRS, SOX)
- Manage customer queries and dispute resolution
- Prepares payment batches and post to correct companies
- Applies payment and code correctly to ensure line-item payment & reconciliation