Job Description:
Job Description:
Key Responsibilities
Intercompany Accounting & Reconciliations
Prepare Intercompany workings, journals and supporting documentation
Perform intercompany reconciliations, accrual postings & clearing mismatches with counterparties.
Prepare and post intercompany accrual journals in line with accounting policies.
Perform Blackline Balance sheet reconciliations and resolve aged open items.
Interact with counterparts over call and/or emails in receiving invoices, seeking clarifications, follow-ups etc.
Ensure delivery of quality results to key stake holders including dashboards, KPI reports non-compliance reports and other key process metrics.
Validation of settled invoices vs open invoices reconciliations.
Unbilled accruals reconciliations and reporting.
Reconcile and fixing master data issues.
Month-End Close
Perform month-end close activities like: IC accounting, Cost accruals, financial reporting in BPC packs etc. within defined timelines.
Perform Intercompany Balance Sheet (BS) & Profit & Loss (P&L) reconciliations to validate financial data integrity and resolve mismatches/variances if any.
Connecting with various stakeholders and counterparts proactively and resolve discrepancies.
Key Skills & Competencies
Strong understanding of financial accounting, intercompany accounting, and accruals.
Hands-on experience with Blackline, BPC, D365 ERP systems.
Should be team player-Ability to work and collaborate with team members.
Strong analytical and reconciliation skills with high attention to details.
Ability to manage tight deadlines during month-end close
Strong communication and stakeholder management skills
Ensuring error free execution of activities of the process.
Develop and implement the aspects of quality compliance and accuracy attributes.
Contribute to the team meetings and brainstorming sessions.
Advanced user of Microsoft Excel & PowerPoint.
Qualifications & Experience
Finance Graduate/Postgraduate/Semi qualified Accountant with 6-8 years of experience in Intercompany Accounting, GL & Record to Report process.
Experience performing month-end close, intercompany accounting, and reporting activities
Experience in Accounts payable and Receivables, Subledger revaluation, emails management, Issue resolution, Cash application, payments, vendor and customer master experience would add advantage.
Location:
BangaloreBrand:
BcoeTime Type:
Full timeContract Type:
Permanent