Process Associates
ExternalFull-timeOn-siteToday
ComplianceExcelSAFeStakeholder Management
Prepare for this interview
EliteAI-generated questions, company research, and talking points tailored to this role
Responsibilities
- -
- Bank Reconciliations: Execute timely and accurate reconciliation of bank statements against general ledger entries.
- -
- Intercompany Accounting: Manage intercompany transactions, including bookings, reconciliations, and dispute resolution across entities.
- -
- General Ledger Maintenance: Support month-end closing activities, including the preparation and posting of journals and balance sheet reconciliations.
- -
- Compliance & Audit: Adhere to SOX controls and internal financial policies to ensure high-quality financial reporting.
- -
- Transition Support: Assist in the migration of RTR processes from onshore or third-party vendors to the Bangalore GCC.
- Qualifications & Experience
- -
- Education: Graduate in Commerce or Finance.
- -
- Experience in Finance Operations or General Accounting with:
- o
- 1 to 3 years: Associate
- o
- 3 to 6 years: Senior Associate
- -
Requirements
- o
- Strong understanding of accounting principles and reconciliation techniques.
- Proficiency in ERP systems and Microsoft Excel.
- Effective communication and stakeholder management skills.
- Work Schedule - Shift: Must be aligned with business hours,
- -
- Additional hours during month end closing is expected
- Additional Information
- About Us, Our Culture & What We Can Offer You
- #BR-CB
Additional Information
Position Overview We are seeking an RTR Associate / Senior Associate to support the . This role is responsible for core financial accounting activities, specifically focusing on Bank Reconciliations, Intercompany, Balance Sheet, and Journals to ensure the accuracy of the general ledger.
Your Match
How well this role fits your profile.
Company Intel
What employees say
Worked at chubbfiresecurity? Share your experience