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Corporate Accountant

BengaluruOn-siteFull-time

AI Summary

Coordinates daily cash posting, bank reconciliation, and treasury management across entities in the ERP, while driving process improvements and supporting ad hoc projects.

About this role

Responsibilities:

  • Coordinate the daily cash posting process in the ERP across management companies, general partners, and affiliated entities
  • Coordinate closely with AP and AR teams to ensure accurate and timely recording of cash receipts and disbursements
  • Manage bank balance circulation to key stakeholders and maintain the bank statement data room
  • Performing bank reconciliation
  • Drive efficiencies across all cash and treasury management functions through process improvements and technology enhancements
  • Assist in ad hoc requests, technology initiatives, and special projects
  • Provide support for and analysis of new business initiatives for firm growth

Requirements

The individual will have demonstrated an ability to work in a fast paced, performance driven environment with an ability to think broadly about the business, incorporating continual improvement of processes and procedures with a goal of excellence while focusing on accuracy and efficiency

•Fully qualified CA/CPA with 0-1 years’ experience

•Strong excel skills

•NetSuite knowledge is plus

Skills

APARBank ReconciliationCash ManagementERPExcelGAAPNetSuiteTreasury Management

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