Reconciliation Statements, foreign exchange valuation, period end closing activities, asset accounting , Consolidation steps...
and reconciliation of Escrow and customers money movement across multiple business units, ensuring timely Balance Sheet reconciliation...
with and understand these processes. Performs accounting functions specifically in the areas of account balancing, ledger reconciliation...
teams on financial reconciliation closures for key brands, wherever applicable Drive the catalog building exercise...
Customer delight Excellence Job Description: Performing reconciliation on a range of data including risk analytics...
Customer delight Excellence Job Description: Performing reconciliation on a range of data including risk analytics...
and issues with existing products and programs are resolved within expected timelines Ensuring reconciliation of transactions...
. Ensure the accuracy and completeness of CI (Configuration Item) data through audits and reconciliation. Establish...
o Defining and executing the Data Management Strategy including data ingestion, cleaning & reconciliation o Interim and final...
Management & Payment reconciliation: Develop and manage the ecommerce budget, ensuring efficient allocation of resources...
to customers. +Preparation of AR Reconciliation. +Working on month end close. + Contract Review...
reconciliation. Familiarity with capacity management and cost optimization tools across multiple cloud platforms (e.g., AWS, Azure...
for gaps in developer experience, merchant experience, payer experience, reconciliation, integrations, success rates, TATs...
Initiative and Automation Team Development and training of Agency Team GST/Summary Bill//Payment Posting/Reconciliation Bill... Description) The job involves to drive Collections and Account Retention, reconciliation related activity, required co-ordination...
certificates o Invoicing and Billing o Accounts Payables o Accounts Receivable and cash reconciliation o Updation into Web... of all local cheques and account reconciliation at regular intervals Ensure adequacy of deposits/Bank Guarantees of agents...
in CIP or AUC Experience in Physical stock reconciliation Worked in SAP and Oracle application Excellent analytical...
with regional POCs/ global SMEs on the compliance issues Preparing and reviewing reconciliation of IDT filings vis-à-vis Tax...
reconciliations (for batched transactions) 3. In- transits recon workbook updating 4. Suspense account reconciliation 5.... Updating Intercompany settlement workbooks on daily basis 6. Safeguarding accounts reconciliation on daily basis 7. JIRA...
. Suspense account reconciliation 5. Updating Intercompany settlement workbooks on daily basis 6. Safeguarding accounts... reconciliation on daily basis 7. JIRA ticket entries posting - Daily basis 8. Uploading Platform and bank entires into NS...
invoices for clients as requested Completing the reconciliation of the actuals Vs the pre-bill on a monthly basis...
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