- Knowledge of general ledger accounting, specifically with Reconciliations of general ledger accounts, including processing reconciliation of transactions, and processing journal entries for Daily, Weekly and monthly for low to high complex accounts, with high volume transactions.
- Understanding of Partnership Accounting will be added advantage.
- Fully and completely understand and document the business process related to assigned general ledger accounting including transaction flow.
- Controllership functions – Reconciliations, analysis and reporting.
- Strong ability to understand financial statements and its drivers and synthesize them into meaningful analysis as required. Develop analysis & interpretations as required to facilitate management decision making.
- Ensure all exceptions are recorded.
- Ability to deliver a high quality, customer focused service on a daily basis to the client in accordance with agreed Service Level Agreements.
- Knowledge of General Ledger Accounting domain and operational experience with ERPs (SAP).
- Operational Experience with SAP/Oracle.
- Working Knowledge of Microsoft Office products (Word, Excel, Outlook, etc.) at a proficient level
- Determine adjustments required and prepare journal entries, monthly accruals and operating expense corrections.
- Perform management reporting on all internal as well as client facing topics.
- Perform monthly, quarterly and year-end closing activities.