- Manage financial transactions, including disbursements, general ledger accounting, and bank reconciliations.
- Ensure accurate and timely recording of financial data in BRS (Bank Reconciliation Statement) and other relevant systems.
- Oversee the preparation of monthly/quarterly/year-end closing statements and provide insights for business decisions.
- Collaborate with cross-functional teams to identify areas for cost savings and implement process improvements.
Job Requirements :
- 8-15 years of experience in finance & accounts role, preferably in NBFC industry.
- Solid knowledge of general ledger accounting, disbursement processes, and bank reconciliation statement preparation.
- Proficiency in using BRS software or similar tools is essential.