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Responsibilities:
Daily reconciliation of general ledger balances to the sub-ledger, preparation of reconciliation package
Identify and clear accounting exceptions and mismatched items
Analyze reoccurring issues and assist in developing process improvements
Monitoring status of aged breaks on balance sheet accounts
Exercise sound judgement regarding the proper application of accounting principles to reconciliations
Respond to Balance Sheet Substantiation team requests for information
Ensure financial reporting deadlines are met
Participate in and/or lead projects as assigned
Qualifications:
Minimum 2 year of experience in financial services working with various financial instruments, investment funds, account maintenance, capital markets
Bachelor’s diploma or higher (nice-to-have)
Self-motivated, client-focused and detail-oriented individuals with great communication skills
Business Analysisexperience &analytical skills
Fluent English (min. B2)
Proficient in Microsoft Office with an emphasis on MS Excel
Able to work under time pressure
We offer:
Attractive conditions of employment and benefits
Opportunity to work in an international, multi-cultural environment
Cooperation with a high quality team in a challenging area of the financial industry with one of the world's leading companies
Intense development of your communication (both written and verbal) and diplomacy skills
Working fully in English (language skills development) in a diverse team
Access to the latest technologies and tools
Opportunity to learn through participation in various projects and cross training
Hybrid work (3 days in the office, 2 days at home)
Time Type:
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