Posted:1 month ago|
Platform:
Work from Office
Full Time
Skill required: Record To Report - Balance Sheet Account Reconciliations Designation: Record to Report Ops Analyst Qualifications: BBA/BCom/MCom Years of Experience: 3 to 5 years What would you do? The Cash Management team is responsible for payment run functions for the organization, pulling funds from stores for inventory/stock, and banking configuration. With these activities, there is technical system configuration involved, reporting, system troubleshooting, projects and testing, and working collaboratively with technical teams. Oversight of franchise and corporate bank opening processes inclusive of bank account opening, SAP configuration, and testing. Work closely with representatives and SAP technical teams in coordinating bank account configuration requests. Perform quality assurance/testing in SAP RPQ environment and troubleshoot BAI2 bank statement errors with technical teams. Perform direct cash forecasting and review with Treasury group. Oversee daily cash management activities and prepare monthly bank reconciliations. Ensure accurate and timely recording of cash transactions in the financial system. Evaluate and consistently monitor accuracy of direct forecast models. Participate in process improvement projects and reduce inefficiencies within the Cash Management group. Liaise with other business units within the organization as required Develop department process manuals and documentation to ensure sufficient knowledge transfer. Analyze problems, understand complex financial issues, and provide recommendations to management. Liaising with internal stakeholders and advising on organizational cash outflows and inflows Coordinating requests pertaining to internal and external audits Participating in the development and implementation of projects, policies and/or procedures, aimed at improving productivity for the department. Various other duties as required. What are we looking for? Account Reconciliations Month End Reporting Accounting Journal Entries Fixed Asset Accounting Strong analytical skills Adaptable and flexible Written and verbal communication Knowledge of cash management and banking best practices preferred. Understanding of financial forecasting methodologies is preferred. Ability to analyze processes, develop efficiencies and initiate constructive solutions. Strong English oral and written communication skills. Demonstrate a new approach to solving an issue(s) and implementing new processes. Ability to converse comfortably with business partners. Demonstrated ability to work independently and part of a team. Advanced experience with spreadsheet applications, word documents and email (office suite), Power Point, Visio. Previous experience in SAP would be considered an asset. Previous experience with SAP RPP or RPQ testing will be considered an asset. Strong organizational and time management skills with keen attention to detail and commitments to excellence. Roles and Responsibilities: In this role you are required to do analysis and solving of lower-complexity problems Your day to day interaction is with peers within Accenture before updating supervisors In this role you may have limited exposure with clients and/or Accenture management You will be given moderate level instruction on daily work tasks and detailed instructions on new assignments The decisions you make impact your own work and may impact the work of others You will be an individual contributor as a part of a team, with a focused scope of work Please note that this role may require you to work in rotational shifts Qualifications BBA,BCom,MCom
Accenture
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