Executive - RTR
Pune, Maharashtra, India
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Follow this link to reach our Job Search page to search for available jobs in a more accessible format.• Posting of month-end accruals & provisions as per given timelines. Forex Revaluation, Distribution cycle run,
• Monthly Intercompany Reconciliation along with root cause analysis for difference & posting the same
• Monthly /weekly Bank Reconciliation to ensure no open items pending more than 1 month.
• Creation of Fixed Asset Master as per Asset Class, Project/Asset Capitalisation, transfer, disposal & sale, Monthly Depreciation Run, Assets Reporting to Management & Auditors.
• Balance Sheet Reconciliation, follow-up with stakeholders to clear the BS open items.
• Monthly/quarterly Inventory provision for Standard Vs Actual, NRV, LED & slow-moving inventory.
• Co-ordination with Auditors for their requirements and queries to meet deadlines of completion of all type of audits.