Key Responsibilities
- Ensure accurate recording of duties and taxes transactions in the general ledger
- Oversee and review preparation of Balance Sheet reconciliations and journal entries
- Maintain accurate records of assigned GL accounts and ensure compliance with company policies
- Monitor, analyze, and resolve open items in balance sheet accounts
- Implement necessary process updates and improvements
- Collaborate with cross-functional stakeholders across finance, ship-to-collect, and clearance teams
- Support audits and provide documentation for tax and duty-related queries
- Prepare tax-related reports and analyze open items
- Perform numerical analysis to validate computations and identify discrepancies
- Assist in process improvement and optimization initiatives
- Strong financial accounting knowledge including accruals, reconciliations, and revenue accounting
- Proficiency in numerical analysis and interpreting complex data
- Advanced Excel skills for calculations and reconciliations
- Experience with ERP systems such as SAP or Oracle
- Hands-on experience with Power BI and Power Query
- Strong stakeholder management and communication skills
- Close attention to detail and accuracy
- Ability to work under strict deadlines and manage multiple priorities
- Experience in automation and process improvement projects
- Proactive mindset to learn and adopt new tools, applications, and AI
- Professional certification (CA, CPA, or equivalent) preferred
If you match the above skills and qualifications, you can connect with Abhishek at [contact information omitted].
(Note: No additional details about the company were provided in the job description.)