Manage the end-to-end finance and accounting processes
- In-depth understanding of Pension Scheme accounting, financial reporting and month end close activities
- Review of various Financial Controls Reports and assist in analysis of discrepancies
- Processing of financial accounting transactions into the general ledger, including collecting, recording, verifying and reconciling financial data
- Deliver month/quarter/year-end close activities to agreed timelines, ensure accuracy of trial balance and sub-ledger linkages.
- Monitor general ledger accounts and resolve discrepancies in a timely manner
- Manage the bank reconciliation, control and suspense accounts to ensure the accounting system reflects the correct transactions
- Drive various improvement initiatives and projects
- Manage relationships with banking partner and other banking service providers
- Ability to work with multiple teams
- Prepare audit schedules, explanations, and supporting documentation
- Ensure timely closure of audit queries and implementation of audit recommendations
📌 Finance Executive (Delhi)
🏢 Tekskills
📍 Delhi
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