We are looking for an Accountant to join our General Accounting team in Noida/Hyderabad. This is an amazing opportunity to work on a centralized process.
About You – experience, education, skills, and accomplishments
Minimum 1 year experience with B.Com Graduation/MBA in Finance (accounting background must)
Knowledge of General Accounting practices and principles
Working knowledge of accounting and reporting ERPs like Oracle, NetSuite, OneStream, etc.
Good exposure in cash reconciliations process and clearing reconciling items along with month-end accounting/reporting activities.
Candidate should be open for taking up any general accounting functions, if needed.
Experience with month end close, Journal posting, variance analysis and commentary
Thorough analysis for reconciling(pending) items and effectively communicating the same
Internal control and SOX compliance/audit.
Advanced computer literacy in M.S. Office products especially in MS Excel
Required Competencies
Excellent written and verbal communication skills
Adaptability & Flexibility - Ready to accept work challenges
Strong Interpersonal Skills
Time management
Sound Analytical Skills - Must be detail oriented
Self-Starter
It would be great if you also had . . .
Working knowledge of Net Suite or similar ERP platforms and OneStream tool.
What will you be doing in this role?
Should be able to smoothly manage complex and voluminous bank accounts.
Complete month end OneStream reconciliations and process reporting’s which are time- sensitive.
Should be able to perform cash reconciliations using bank statements to compare entries with ledger report and finalize month end reconciliations in the standard format.
Candidate should be open to take up challenges and ready to deliver on critical timelines
Should have proven track records in General accounting activities, Reconciliation, reporting and Month end activities.
Coordinate with peer groups (Cash application, Accounts Payable, Treasury, Operations Team, other Stakeholders) for smooth flow of operations
Liaise with Controllers and other departments to solve accounting issues
Monitoring and clearing of reconciling items or aged items before close of next month
Resolve queries from internal and external stakeholders related to reconciliation matters. Able to escalate issues on a timely basis to facilitate quick resolution.
Any additional tasks assigned per process requirement from time to time need to be completed as per the assigned timeline. Handling Integration/Transition related projects.
Identify areas of improvement in the process and systems and report to the Manager.
Proactive, willing to learn and follow, adaptable, clear in accounting concepts, approachable, Team Player, Self-Starter, timeliness, all would be key factor to succeed
Support with other ad-hoc activities as per need
About the Team
The team plays a vital role in the Global Accounting Function in all regions. We have a great team of self-driven colleagues who performs cash reconciliations on monthly basis and investigate reconciling item along with follow ups for timely closures etc.
Hours of Work
The regular working hours are 11:00 AM IST to 08: 00 PM IST (Hybrid Mode)
Ready to be flexible to work on extra hours as per business/process requirement
At Clarivate, we are committed to providing equal employment opportunities for all persons with respect to hiring, compensation, promotion, training, and other terms, conditions, and privileges of employment. We comply with applicable laws and regulations governing non-discrimination in all locations.