Description The Finance Executive will play a key role in supporting the company s financial operations by ensuring accuracy compliance and timely reporting across multiple financial functions This role involves managing daily accounting activities performing reconciliations assisting with management reporting and supporting both statutory and internal audit processes The ideal candidate will possess strong analytical skills attention to detail and a proactive mindset to drive process efficiency and continuous improvement Key Responsibilities Financial Reporting Management SupportAssist in the preparation of Management Pack schedules and related financial reports Prepare and maintain bi-weekly cash flow reports providing insights for decision-making Support project-focused accounting deliverables ensuring financial accuracy and control Contribute to the continuous improvement of financial reporting systems and processes Accounting ReconciliationsManage daily accounting entries in compliance with company policies Perform bank reconciliations on a day-to-day basis ensuring timely resolution of discrepancies Conduct ledger reconciliations with vendors and customers to maintain accurate records Prepare and review weekly vendor-wise aging reports for effective payable management Ensure statutory dues reconciliations such as TDS GST PF etc are completed accurately and on time Facilitate monthly billing and e-invoicing activities ensuring adherence to statutory requirements Taxation ComplianceReview monthly and annual GST returns and ensure accurate and timely filing Liaise with external consultants for documentation related to GST refunds and compliance queries Ensure all financial records are audit-ready supporting statutory internal and GRC audits as required Cash Credit ManagementManage credit control and cash management functions to optimize working capital Monitor customer receivables and ensure timely collections through proactive follow-ups Process Improvement Issue ResolutionContinuously identify opportunities to enhance financial systems and workflows Investigate financial discrepancies or process issues and implement corrective actions Support cross-functional teams for Fixed Asset Verification Register vs Actuals and related reconciliations Prepare ad-hoc reports and analyses as required by management Skills Knowledge Expertise Strong understanding of accounting principles financial reporting and tax regulations Proficiency in ERP systems e g Tally D365 Advanced MS Excel and data analysis skills Detail-oriented with excellent analytical and problem-solving abilities Ability to work under pressure and meet tight deadlines Robust communication and coordination skills across teams Qualifications ExperienceBachelor s Degree in Commerce Accounting or Finance Master s or CA Inter preferred 2-5 years of relevant experience in finance accounting or audit roles Experience in GST filings reconciliations and audit support will be an advantage Reporting CollaborationReports directly to the Senior Accountant Works closely with cross-functional teams including Operations Procurement HR and Auditors About Davies We are a specialist professional services and technology firm working in partnership with leading insurance highly regulated and global businesses We help our clients to manage risk operate their core business processes transform and grow We deliver professional services and technology solutions across the risk and insurance value chain including excellence in claims underwriting distribution regulation risk customer experience human capital digital transformation change management Our global team of more than 8 000 professionals operate across ten countries including the UK the U S Over the past ten years Davies has grown its annual revenues more than 20-fold investing heavily in research development innovation automation colleague development and client service Today the group serves more than 1 500 insurance financial services public sector and other highly regulated clients