- Performance of certain reconciliations as assigned by the manager. - Transaction monitoring in the system (GL). - Follow up of un reconciled transactions with the banks, other teams for effective & timely resolution. - Assisting auditors both external & internal for audit related queries. - Any other task assigned by the manager.
- Relevant accounting knowledge/education. - Hands on practice on MS Excel & any CBS - Good knowledge about reconciliations.
- Good team member. - Ability to work under pressure. - Committed towards achievement of tasks within stipulated time limits.
- Good on hand knowledge on reconciliations.
Finance & Accounts
MS Office, especially good in MS Excel.
Good knowledge about reconciliations, general accounting and on hands practice on any CBS.