What youll own
Reconcile bank, ledger, and vendor accounts to ensure financial accuracy.
Identify and resolve discrepancies or variances in financial records.
Prepare and maintain detailed documentation for all reconciliations.
Collaborate with internal teams to address and rectify accounting issues.
Assist in the preparation of reports for audits and financial reviews.
Monitor transactions to ensure compliance with internal controls and accounting policies.
Suggest improvements to enhance reconciliation processes and efficiency.
Where youll own it
You will own it in our Vibrant Office Locations as Pune hub .
APAC
With hubs in the heart of city centers and tech capitals, things move fast in APAC. We pride ourselves on being an agile and dynamic collective, collaborating with different teams and offices across the globe.
What you bring
Reconcile bank, ledger, and vendor accounts to ensure financial accuracy.
Identify and resolve discrepancies or variances in financial records.
Prepare and maintain detailed documentation for all reconciliations.
Collaborate with internal teams to address and rectify accounting issues.
Assist in the preparation of reports for audits and financial reviews.
Monitor transactions to ensure compliance with internal controls and accounting policies.
Suggest improvements to enhance reconciliation processes and efficiency.
Strong attention to detail and accuracy.
Proficiency in accounting software and Microsoft Excel.
Knowledge of reconciliation processes and basic accounting principles.
Excellent problem-solving and analytical skills.
Strong organizational and time management abilities.
Communication and teamwork skills to work with internal departments.