We are hiring a finance professional with experience in claims accounting, reconciliations, and month-end finance operations. The ideal candidate should have strong analytical skills, attention to detail, and hands-on experience in SAP and Excel.
Key Responsibilities
- Perform monthly reconciliation of claims and coordinate with internal teams for resolution of open items.
- Prepare balance sheet schedules including outstanding claims, deposits, refunds payable, and related reconciliations.
- Coordinate with operations and finance stakeholders to clear pending accounting items.
- Manage fixed asset accounting, capital work-in-progress (CWIP), and depreciation accounting.
- Support month-end closing activities including premium accounting, long-term accounting, and claims accounting.
- Prepare and share MIS reports for finance and business stakeholders.
- Assist cross-functional teams including analytics, actuarial, operations, and reinsurance with financial data and reporting.
- Ensure accuracy,
compliance, and timely completion of accounting activities.
Required Qualifications
- B.Com / Commerce Graduate.
- 4–6 years of relevant experience in accounting and finance operations.
- Experience in claims accounting or reconciliation processes preferred.
- Strong working knowledge of SAP and Microsoft Excel.
- Understanding of month-end closing and balance sheet reconciliations.
- Valuable communication and stakeholder coordination skills.
Preferred Background
- Experience in insurance, financial services, or BFSI sector.
- Exposure to reinsurance accounting and claims finance operations is an added advantage.