Finance Executive
Indexed description
We offer
As a part of a global conglomerate, the candidate will have an opportunity to perform in a challenging work environment, gain exposure and a chance to work in a good working atmosphere.
Key Responsibilities
This role plays a key part of the delivery of accounting services in the business. The person will be responsible for arrange of activities(monthly/quarterly/annually) related to accounting and reporting in a fast-paced environment which includes execution of purchase invoice and payments, sales invoices and cash applications, period end accounting entries, running month-end routines, making necessary GL adjustments, closing and finalization of trial balance, consolidation eporting of financial statements and performing post closure activities including account reconciliation etc.
General Ledger and Reporting:
- Perform balance sheet reconciliations and execute necessary GL adjustments (if necessary)
- Perform Intercompany reconciliations and execute necessary adjustments to eliminate plugs
- Prepare schedules for statutory, internal audits and interacting with auditors
- Process monthly journal entries including accruals
- Process and record asset acquisitions/capitalization/disposals
- Execute period end accounting activities in Navision
- Finalize trial balance and perform reporting activities in Onestream
- Resolve queries from HQ\EU finance team and root cause analysis
- Active engagement through calls with HQ\EU finance teams during the month end
- Focus on ensuring 100% compliance to internal controls
- Contribute to process excellence by identifying improvement opportunities to make the process leaner and more effective
- Ensure high-quality invoicing and collection procedures that comply with APMM policies
- Post intercompany reinvoices within cutoff time
- Responsible for daily review of bank receipts and appropriate cash application treatment towards clearing relevant sales invoices
- Review aged debtors report and take necessary actions for timely collection and ensure that no over dues from our customers
- Create and maintain customer master data with up-to-date records
- Strong communication channels with all internal stakeholders and customers
- Accurate processing, coding and matching of invoices in accordance with APMM policies
- Liaising with global suppliers and internal business contacts to resolve invoicing queries in a professional manner, on a timely basis
- Ensure appropriate invoice approvals and timely payments including clearing of relevant invoices
- Create and maintain supplier master data with up-to-date records
- Supplier reconciliations and analysis of aged creditors report with at most importance to clear the debit balance in the vendor accounts
- Handling all emails related to invoices and any other associated duties including scanning of invoices into Business central
- Bachelors / Masters in Finance / CA (Inter) / CWA (Inter) with 2 - 4 years experience.
- Advanced excel skills
- Prior experience in MS Dynamics Business Central & OneStream (preferable but not mandatory)
- High attention to detail and strong focus on quality
- Ability to work in fast paced environment and meeting shorter deadlines
- Ability to handle the role independently
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