





Strong Tier-1 brand, metro location, and common finance manager title increase candidate competition.
Reconciliations and control focus require finance-specific expertise, limiting cross-industry transferability.
Control-heavy role with audit and compliance responsibilities enforces strict domain experience filters.
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Coordinate with internal departments and outsourced providers to obtain transaction data, investigate reconciling items, and resolve issues in reconciliations.
Review and post all journal entries ensuring accurate recording of business transactions and assist with monthly reviews and annual audits involving external auditors.
Support project delivery including business requirements gathering, testing, implementation, and maintain compliance, governance, audit trails, and risk management within reconciliation processes.
Work Experience Required: Not explicitly mentioned in the JD.
Mandatory coordination experience with multiple departments and external auditors in a financial/accounting environment.
Experience in journal entry review and reconciliations is implied but not explicitly stated.
No notice period, degree requirements, or strict location constraints explicitly mentioned.
Experienced in managing reconciliation processes with a focus on accuracy, compliance, and control frameworks in a financial services context.
Ability to apply judgment in decision-making impacting accounting outcomes and risk management.
Skilled in stakeholder engagement and cross-functional collaboration, including vendor and auditor management.