* Perform/review routine reconciliations and validations of financial data
across source systems such as Journey, SDM, Oracle, and other upstream feeds.
* Investigate and resolve routine variances identified during gross, ceded, and
system reconciliations (including Dataiku and Workiva, source-to-Oracle
checks).
* Update and maintain SmartView and standard close reports at various stages of
the monthly and quarterly close cycle.
* Prepare recurring close schedules, reconciliation templates, and supporting
working papers.
* Assist in preparation of close-related documentation, including tax split
files, earnings reviews, and statutory support schedules.
* Coordinate with upstream teams, systems, and operations to resolve data
discrepancies in a timely manner.
* Ensure compliance with documented close procedures, controls, and reporting
timetables.
📌 Manager (Noida)
🏢 EXL
📍 Noida
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