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Handle high volume of transactions with utmost accuracy within prescribed timelines.
Performs reconciliations and analysis of ledgers to ensure completeness and accuracy
Maintain accurate historical records and documentation for audit support
Develop & publish reporting metrics of KPIs
Perform additional duties as assigned to support the finance team
Understand and adhere to all company policies, including but not limited to security, trade secrets and confidentiality of all information
Graduation (Bachelors) in Accounting; Masters will be an advantage
2-3 years Accounts Payable, Bookkeeping, or other relevant experience
2-3 years experience in popular Accounting applications, such as Tally
Experience with QuickBooks a plus
Experience with Microsoft Office, including strong Excel skills
Strong English communication skills, both written and verbal with problem solving ability
Strong attention to detail
Supporting & coordinating with on-shore team based out of US offices
Nibodhah