





Specialized finance role in Mumbai with known brand and seniority creates moderate competition.
Requires finance reconciliation and control experience, limiting cross-industry transferability.
Requires domain-specific accounting, controls and audit experience, making filters moderately strict.
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Coordinate with departments and outsourced providers to obtain transaction data, research reconciling items, and resolve reconciliation issues.
Review and post all journal entries to ensure accurate recording of business transactions and assist in monthly reviews and annual audits with external auditors.
Manage compliance and governance frameworks, support project delivery including business requirements, testing and implementation, and foster positive risk, compliance, and control culture within the business area.
Work Experience Required: Not explicitly mentioned in the JD
Mandatory collaboration with external auditors and ability to manage audit timelines and requirements.
Must demonstrate experience in handling journal entries and reconciliation processes.
Not explicitly mentioned: specific educational qualifications, notice period, or location constraints.
Experienced in reconciliation management with strong operational accountability for transaction accuracy and audit readiness.
Skilled in managing compliance, risk, and control frameworks in a finance or accounting environment.
Able to build constructive relationships with multiple stakeholders, including external auditors, ensuring timely resolution of issues and continuous control environment improvements.