Staff Accountant

2 - 6 years

0 Lacs

Posted:1 day ago| Platform: Shine logo

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Work Mode

On-site

Job Type

Full Time

Job Description

You will be responsible for the following key activities: - Verify and post details about business transactions in the accounting system - Perform bank reconciliations - Manage Prepaids schedules and monthly reconciliations - Managing fixed assets additions, disposals and depreciation - Become proficient in the use of the accounting system (NetSuite) - Contribute to and improve reconciliation processes - Participate in month-end close activities, including preparation of journal entries - Assist on projects as needed - Support regional teams during various audits Qualifications required for this role: - Preferred bachelor's degree in business, Finance, Accounting, or a related field - Proficient with MS Excel, MS Word, and/or any other products within the Microsoft Suite - Strong understanding of accounting principles, practices, and procedures - Excellent organizational skills - Attention to detail and accuracy in financial data analysis and reporting - Ability to work and communicate among multiple teams and functions - 2+ years of experience with accounting, bank reconciliation, and month-end reconciliations - Effective communication and interpersonal skills - Should be flexible in shift timings In addition, it would be nice to have: - Advanced knowledge and skill with MS Excel, MS Word, and/or any other products within the Microsoft Suite - Preferred NetSuite experience - Preferred experience working in international currencies Company Benefits: - Generous time off policies - Top shelf benefits - Education, wellness, and lifestyle support You will be responsible for the following key activities: - Verify and post details about business transactions in the accounting system - Perform bank reconciliations - Manage Prepaids schedules and monthly reconciliations - Managing fixed assets additions, disposals and depreciation - Become proficient in the use of the accounting system (NetSuite) - Contribute to and improve reconciliation processes - Participate in month-end close activities, including preparation of journal entries - Assist on projects as needed - Support regional teams during various audits Qualifications required for this role: - Preferred bachelor's degree in business, Finance, Accounting, or a related field - Proficient with MS Excel, MS Word, and/or any other products within the Microsoft Suite - Strong understanding of accounting principles, practices, and procedures - Excellent organizational skills - Attention to detail and accuracy in financial data analysis and reporting - Ability to work and communicate among multiple teams and functions - 2+ years of experience with accounting, bank reconciliation, and month-end reconciliations - Effective communication and interpersonal skills - Should be flexible in shift timings In addition, it would be nice to have: - Advanced knowledge and skill with MS Excel, MS Word, and/or any other products within the Microsoft Suite - Preferred NetSuite experience - Preferred experience working in international currencies Company Benefits: - Generous time off policies - Top shelf benefits - Education, wellness, and lifestyle support

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