Job Summary
Key Responsibilities
2. Perform daily bank posting and execute monthly bank reconciliations with MS Excel, identifying and tracking open Balance Sheet items for timely closure.
3. Assist in compiling and preparing financial statements by gathering and organizing relevant data using MS Office tools.
4. Participate in root cause analysis of process issues in invoice-to-pay activities, documenting findings and proposing basic improvements within assigned tasks.
5. Generate detailed reports and analyses on process health using Excel, supporting monitoring and continuous improvement efforts.
6. Collaborate with team members in Accounts Receivable and Accounts Payable to resolve routine queries and facilitate smooth workflow execution.
7. Document business requirements for process enhancements under guidance, aiming to improve workflow functionality and customer satisfaction.
Skill Requirements
2. Basic Proficiency With Erp Systems (Sap, Oracle) For Transaction Processing And Data Entry.
3. Familiarity With Ms Office Suite, Especially Excel, For Data Analysis And Reporting.
4. Fundamental Communication Skills For Effective Information Sharing Within The Team.
5. Demonstrates Learning Agility By Adapting To New Tools And Process Changes In A Structured Environment.