We are looking for an Assistant Finance Manager to drive our reconciliation and operations processes. As the Assistant Finance manager, you will get the opportunity to drive the organisation's growth by building and implementing SOPs leading to operational excellence.
Key Responsibilities:
Act as the functional lead of day-to-day operational reconciliation and treasury functions. Ensure complete, accurate and timely delivery.
Process, verify, and reconcile high volume transactions of complex nature, process daily pay-outs on timely basis
Perform all other recon related duties as assigned to meet the needs of the business
Develop required files, reports, and data for analysis and reporting
Handle escalations and resolve inter/intra departmental queries in a timely manner as required
Identifying system issues related to reconciliations and making adjustments and improvements
Document & improvement recon processes and the ongoing maintenance of these procedures
Identify risks and create action plans to mitigate them
Supporting the month end process & audits
Requirements - Skills, Abilities, and Knowledge:
Previous experience of handling complex reconciliations and large volumes of financial data
Working knowledge of advanced excel
Naturally investigative and a problem-solver by nature: must be able to solve problems related to complex reconciliations
Banking/NBFC experience preferred
Must be able to work well with people at all levels of the organization
Semi-qualified CA /MBA with 3+ years' experience in Reconciliations
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