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7.0 - 11.0 years
0 Lacs
karnataka
On-site
You are an experienced EDMCS Expert with a minimum of 7 years of experience. Your primary responsibility will be to design and develop DRM/EDMCS and integrations. You will work closely with technical experts in the organization to implement technologies in the Enterprise Performance Management (EPM) system. Your role will involve providing architectural solutions for new initiatives, defining scope and work sizing, and leading Proof of Concept developments. Additionally, you will offer solution architecture for business problems, integrate platforms with third-party services, and design complex features to meet clients" business requirements. As an EPM Lead focusing on PC EDMCS, your key duties and responsibilities will include: - Serving as the applications design architect/Lead for DRM/EDMCS application development - Acting as the Application Design point of contact for DRM/EDMCS Analyst Teams - Providing solutions for existing Architecture Design on the current system - Collaborating effectively with other groups within the organization In addition to the primary responsibilities, the following requirements are essential for this role: - Extensive EDM experience of 7+ years - Proven experience in implementing Hyperion DRM/EDMCS with a strong Application Development background - Proficiency in Requirement Gathering & Solution Design - Sound knowledge of Hyperion DRM/EDMCS - Full end-to-end implementation experience is mandatory - Strong expertise in Master Data Management related to Chart of Accounts, product, vendor, account, employee, etc. - Understanding of Subscriptions, Workflow Policy, Validations, Expression Builders, and Extract - Hands-on experience with EDMCS is a must - Good communication skills - Willingness to travel as needed If you meet the above requirements and are looking for a challenging opportunity to showcase your expertise in EDMCS and related technologies, this position at Oracle GSC could be the perfect fit for you.,
Posted 3 days ago
1.0 - 5.0 years
0 Lacs
haryana
On-site
You are looking for a Finance/Operations Associate to join our team in Gurugram. As a Finance/Operations Associate with at least 1 year of experience, you will be responsible for various key tasks. Your primary responsibilities will include assisting in the preparation of subscriptions (60% of the time), performing financial data entry with a focus on accuracy (20%), helping in the creation of presentations/reports for senior management (10%), and collaborating with different departments to collect and analyze financial information (10%). To excel in this role, you should ideally be a recent MBA graduate or have 1 year of experience with a specialization in Finance/Operations. You must possess strong business acumen and orientation, along with excellent analytical and problem-solving skills. Proficiency in Microsoft Excel is crucial, and you should have a keen eye for detail and exceptional organizational abilities. The ability to learn quickly and adapt in a fast-paced environment will be beneficial. About the Company: WedMeGood is India's largest wedding planning platform and app, connecting families with the best wedding professionals and brands that suit their style. With over 500,000 couples being connected to the right wedding brands annually, our website attracts over 1 million unique visitors each month, and our app has been downloaded over 6 million times. At WedMeGood, we foster a culture of growth, teamwork, and excellence. Our core values include ethics, quality work, innovation, and perseverance. Key Skills: operations, finance, report analysis, financial data management, analytical skills, Microsoft Excel proficiency, problem-solving abilities, organizational skills, attention to detail, strong business acumen, and subscription management.,
Posted 2 weeks ago
2.0 - 6.0 years
0 Lacs
karnataka
On-site
Private Equity Capital Activity & Investor Accounting Key Responsibilities: Manage capital calls and distributions, ensuring accurate calculation and timely execution. Maintain investor capital account balances, track contributions, and returns. Prepare and review capital statements, waterfall calculations, and carried interest allocations. Reconcile investor transactions, subscriptions, and redemptions. Record journal entries related to capital activities, investments, and expenses. Qualifications & Skills: Education: Bachelors degree in Accounting, Finance, or related field. Experience: 2-6 years in private equity, fund administration, or asset management accounting. Strong knowledge of partnership accounting, PE fund structures, and investor reporting. Familiarity with Investran, eFront, or other PE fund accounting software.,
Posted 3 weeks ago
2.0 - 5.0 years
5 - 10 Lacs
Noida, Uttar Pradesh, India
On-site
We are seeking a Senior Fund Accountant, reporting to a Manager within Apex, to have responsibility for the preparations of accurate portfolio valuations on a timely basis. You will typically be responsible for the preparation/overseeing of a number of client portfolios (underlying accounting, financial statements preparation, regulatory requirements), the development and mentoring of more junior team members and providing the highest quality of services to our customers. The SFA will support a growing team that provides a full suite of fund accounting and financial reporting services to our Corporate solutions clients. The role will include accounting and financial reporting, NAV reporting and fund administration duties for our portfolio of clients. Furthermore, the SFA is expected to play a role in the supervision, development and mentoring of junior team members. Key responsibilities: Working with the assistant manager, manager and director to ensure the planning, coordination and completion of NAVs, Management Reporting and Statutory Reporting of corporate entities to ensure team complies with all of its accounting standards (eg IFRS and GAAP) and regulatory obligations and requirements including listing requirements and client reporting; Assist with the Supervision and mentoring of a number of trainee fund accountants and fund accountants; Working closely with the client and Apex colleagues to ensure that transactions are understood to ensure accurate capturing; Liaising with fund managers, brokers, and custodians to communicate information and resolve issues on a timely basis; Ensure that client responsibilities are managed effectively and to agreed client, best practice, regulatory and statutory deadlines; Assisting the external auditors to ensure the audit function is executed on a timely and efficient basis; Performing any additional responsibilities that may be required in the support of the on-going management and development of the division; Preparation of monthly, quarterly, annual NAVs; Preparation of management accounts and IPDs; and Preparation of annual statutory financials statements. Assist with the preparation of capital call workings and distribution workings of the Funds; Performing any additional tasks that may be required in the support of the on-going management and development of the division. Skills / Experience: Commerce degree with: Eligible to register as a CA(SA); no post article experience required; SAIPA, CIMA or ACCA advantageous; Proficient in MS Excel; Structural and detail orientated; Good analytical and problem solving skills; Excellent interpersonal and teamwork skills; Ability to prioritize work and meet strict deadlines; Excellent communication and organization skills; Motivated and driven Fund related accounting experience will be an advantage; Private Debt, Capital Markets, Real Assets or Private Equity Knowledge will be a distinct advantage.
Posted 1 month ago
5.0 - 10.0 years
5 - 10 Lacs
Noida, Uttar Pradesh, India
On-site
Main Responsibilities Should act as a Subject Matter Expert of the underlying PE dealing process, imparting training if needed, commanding key areas of the process and taking lead in transitions and migrations Capable of identifying root causes of errors and providing effective solutions Involved in reviewing aspects of different sub-activities aligned to PE dealing Acts as primary contact for daily communication with clients and fund participants, building rapport with local office managers Understands Fund Setup, Investor Setup, Company Setup, contact updates, and circulation list management over investor portal Investigates investor subscription and redemption documents Manages linking, updating, and deleting investor data and wire details on the investor portal Understands invoice reading and payment processing through payment platforms Maintains Capital Call transaction trackers Performs Mail Merge to send financial notices/statements to investors Handles Capital Call notices, PCAPs, Distribution letters, and K1s Reviews wire instructions in adherence with legal and compliance policies Collaborates closely with onshore counterparts for aligned funds Experienced in investor-based or fund-based applications Reviews and processes management, performance, and incentive fees Uses Excel for basic functions like VLOOKUP, HLOOKUP, MATCH, INDEX, and IF Education MBA, M.Com, or B.Com Desired Qualifications Working knowledge of investor-based or fund-based applications (or other private equity systems) Experience in private equity or real estate fund administration 510 years of relevant experience Skilled in reviewing subscription documents and financial statements Excellent verbal and written communication skills in English A good team player with minimal supervision required Self-motivated and driven to meet deadlines
Posted 1 month ago
6.0 - 11.0 years
19 - 25 Lacs
Mumbai
Work from Office
About General Mills We make food the world loves: 100 brands. In 100 countries. Across six continents. With iconic brands like Cheerios, Pillsbury, Betty Crocker, Nature Valley, and Hagen-Dazs, weve been serving up food the world loves for 155 years (and counting). Each of our brands has a unique story to tell. For more details check out http://www.generalmills.com Purpose of the role The D&T Analyst II Software License Compliance - VMO is an individual contributor role that requires strong project management skills, excellent client communication, and a deep understanding of SAM best practices. Key Accountabilities 6-10 years overall experience in IT, with at least 5+ years of continuous experience in a Software Asset Management. Lead the development and implementation of enterprise-wide SAM frameworks and processes. Define requirements and act as Product Owner for SAM tool implementations (ServiceNow, Flexera, SAMPro preferred). Manage the lifecycle of software assets, ensuring license compliance and minimizing risk. Review and interpret complex software contracts, including agreements, subscriptions, and support terms. Develop and maintain accurate entitlement license positions for major software publishers. Conduct regular software audits and manage publisher renewals. Identify and implement opportunities for optimization, cost savings, and risk mitigation within hardware and software asset lifecycles. Provide expert guidance on application rationalization. Collaborate with stakeholders across the organization to ensure alignment and support for SAM initiatives Preferred Qualifications 6-10 years overall experience in IT, with at least 5+ years of continuous experience in a Software Asset Management. Proven experience leading large-scale SAM projects within an enterprise environment. Deep understanding of SAM tools (ServiceNow, Flexera, SAMPro, etc.) and their integration with discovery sources. Expertise in Software Publishers - Microsoft,IBM, Oracle, Expertise in software contract review and interpretation. Strong analytical and problem-solving skills. Data Analysis & Visualization: Proficiency in data analysis tools (e.g., SQL, Tableau, Power BI) to extract insights from SAM data and create compelling reports. ITIL Certification: Demonstrates a broader understanding of IT service management best practices. Cloud SAM Experience: Experience managing software assets in cloud environments (AWS, Azure, GCP) ITIL and Tool Certification preferred
Posted 2 months ago
4.0 - 8.0 years
6 - 10 Lacs
Pune
Work from Office
Job Location: Pan India Responsibilities Job Description Around 3-8 years of IT experience in developing Integrations/APIs solutions or relevant solution development A min of 2 to 4 years of relevant experience with Azure Integration Services like Azure Logic Apps, Azure Functions. Strong Knowledge of Azure PaaS components like Azure Storage, Azure Logic Apps, Integration account, creating schema maps using visual studio in integration account ,Azure Functions, API Management, Key Vault, Service Bus Proficient with Azure Platform Development (Azure Functions, Azure Services, Azure Storage, Logic Apps) Should have good understanding of Azure VM, VNET, Storage, Subscriptions, Security Knowledge of working with ARM template and service principle Detailed understanding of end-to-end best practice across the API / integration lifecycle An understanding of the business domain and its language. The ability to elicit requirements from the business and the ability to understand the specifications of the data sources Knowledge of project delivery methodologies, including Lean and/or Agile and/or DevOps Knowledge of IT security and compliance requirements Experience in working with the larger teams, natural teams, speeded across various regions Good to Have Configure and manage CI/CD pipelines (e.g., source control, build tool, CI server, artifact and dependency repository, etc.) ERP knowledge (D365/SAP IDOC file processing) is advantage Experienced with either MuleSoft, Microsoft Biztalk or SQL Server Integration Service Roles and Responsibilities Build, design, and deploy solutions, new integrations/APIs and update existing API functionalities (enhancements or bugfixes) on Azure Integration Services ( Logic Apps, APIM & Azure functions) and update existing APIs functionality (enhancement/defect fix); Unit/UAT Testing of the API integration Works from written specifications and pre-established guidelines to perform the functions of the job and maintains documentation of process flow/ validate the solution end to end before any implementation Documentation should be produced in parallel to the implementation so that the assets can easily be understood in Exchange and elicit feedback
Posted 2 months ago
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