Associate, General Accounting - Bengaluru, Karnataka, India - Hudson's Bay Company

Deepika Kaur

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Deepika Kaur

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Description

Associate - General Accounting & Reporting:
General Accounting team is responsible for performing the day to day activities assigned in the team.

This role requires high degree of customer orientation to meet the needs of internal customers / business partners with the global Finance team, as well as other internal partners including Financial Reporting and banner Finance teams.

This individual will be responsible for the overall quality of service delivery for General Accounting team, including acting as an escalation point to resolve and correct any issues / concerns raised by the global Finance teams.

The position will perform activities as directed by the team lead including processing journal entries, period end close activities, completing account reconciliations, clearing aged line items from account reconciliations, reports, query management and variance analysis.


Job Qualifications:


Primary Role responsibilities include:


  • Responsible to perform day to day activities related to Gift card.
  • Gift card accounting
  • Handle monthly, quarterly & year end General accounting close activities in a timely and efficient manner.
  • Ensure adherence to Accounting and reporting policies, internal control and audit requirements, and service standards at all times
  • Consistently monitor key performance parameters of the process and identify and implement new ways to improve the quality of work as well as the means of working on processes
  • Set up / maintenance of Prepaid and recurring entries.
  • Processing of Journal entries related to prepaid, accruals and few of the payroll related Journal entries.
  • Prepare Daily, Weekly, monthly and yearly reports
  • Should have the ability to analyze the variances.
  • Should be able to handle Internal & external Audit queries.
  • Work, train & mentors the peer group members and extend the support to the team leader.
  • Responsible for reconciliation of accounts.
  • Should adhere to the TAT for all the queries received.

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