• Reconcile General ledger to Subledger and being accountable for the financial close process in accordance with agreed period close schedules and in compliance with financial standards (TGAP) and controls framework.
• Understanding the relevant systems to ensure correct processing of financial transactions including Application of
• basic accounting concepts of Debits / Credits, Control accounts while recording transactions.
• Responsible for completeness and accuracy of various trackers.
• Review of the reconciliations inline with best way requirements as per Risk assessment methodology, adheres to timelines and understands the importance of accuracy to avoid surprise scenarios in balances sheets.
• Ensure highlighting of all accounting issues in the Balance sheet reconciliations with suggested probable solutions
• Be considered as go to person for the team & Liaising with different IT teams / Business teams.
• SME who can be approached for Accounting/ reconciliation issue.
• Supports Internal and External Audit.
• Following our Business Code of Conduct and always acting with integrity and due diligence
• Understands "MY" Objectives and work priorities (including Key Performance Indicators) and works towards achieving and exceeding them
• Is a good Teammate, and takes on First Line Supervisory responsibilities of coaching, training and communication.
* Conceptual Knowledge of IFRS / IAS
* 5-7 years of experience in Finance Domain
* Track record of operations delivery for process within teams
* Independently led Finance processes with at least 1 being relevant for the domain
Preferred:
* Qualification - Commerce graduate
* Knowledge of Retail industry, Business, Operational
aspects of retail (stores), Commercial (Buy & sell)