- Manage and oversee execution of general accounting processes such as passing of journal entries and ledger entries, trial balance preparation, tallying of books of accounts and preparation of financial statements
- Review and analyse the position of critical general ledger accounts on a monthly basis with the Consolidation team
- Ensure that the Variance analysis and necessary reconciliations are carried out to enable timely closing of accounts on a monthly and annual basis
- Coordinating with CS Team, Tax Team and Auditors for financial inputs and fulfilling audit requirement