Location : Hyderabad Experience : 2-4years  WORK EXPERIENCE / KNOWLEDGE: Job profile - Process - Position reconciliation between agents and lenders in the syndicated loan market. Lenders and agent banks in the syndicated loan market face many challenges in sharing and validating position information as loan assets are traded or pass through lifecycle events. Data discrepancies cause delays in settlement and create the need for manual reconciliation of
Location : Hyderabad Experience : 2-4years  WORK EXPERIENCE / KNOWLEDGE: Job profile - Process - Position reconciliation between agents and lenders in the syndicated loan market. Lenders and agent banks in the syndicated loan market face many challenges in sharing and validating position information as loan assets are traded or pass through lifecycle events. Data discrepancies cause delays in settlement and create the need for manual reconciliation of
Responsibilities⢠Responsible for completing inventory accounting in compliance and within the monthlyclosing deadlines.⢠Responsibility for the inventory related internal controls at sites supported.⢠Partner with site operations teams to drive and deliver inventory accounting processexcellence and valuable insights.⢠Responsible for recording and reconciling the inventory accounting for reserves,capitalized variances and ASC 606 inventory
Responsibilities⢠Responsible for completing inventory accounting in compliance and within the monthlyclosing deadlines.⢠Responsibility for the inventory related internal controls at sites supported.⢠Partner with site operations teams to drive and deliver inventory accounting processexcellence and valuable insights.⢠Responsible for recording and reconciling the inventory accounting for reserves,capitalized variances and ASC 606 inventory
Accounting Analyst - Hyderabad Mode - C2H(1 Year and Extendable)Key ResponsibilitiesGeneral Ledger and Account Reconciliation:Perform reconciliation of General Ledger (GL) accounts, including Cash and Bank accounts and other Sub-ledger Accounts as required.Identify, research, analyze, and resolve the reconciling items on the accounts reconciled.Prepare and organize supporting documentation for all reconciliations.Prepare reconciliation-related journal
Accounting Analyst - Hyderabad Mode - C2H(1 Year and Extendable)Key ResponsibilitiesGeneral Ledger and Account Reconciliation:Perform reconciliation of General Ledger (GL) accounts, including Cash and Bank accounts and other Sub-ledger Accounts as required.Identify, research, analyze, and resolve the reconciling items on the accounts reconciled.Prepare and organize supporting documentation for all reconciliations.Prepare reconciliation-related journal