Role & responsibilities
Perform variance analysis and explain the revenue and cost lines that are outside of business/financial thresholds as it pertains to Sales/AR/Bank Fees. Research and troubleshoot any adjustments or reconciling items to include liaising with business finance teams, operations teams, IT, the warehouse, and any other pertinent stakeholders to resolve timely .
Preferred candidate profile -
5days working
cab
US sift
Location Bangalore
package up to 8Lpa depends on last
Interested candidates can share resume at an********h@cr**********n.com
or What's up 9871132***

Keyskills: Retail Banking Cash Reconciliation Cash Accounting Investment Banking Accounting Transaction Banking Cash Management Cash Flow Management Treasury Cash Account Opening Reconciliation Bank Accounting Corporate Banking Cash Operations Treasury Accounting
Capgemini Engineering combines, under one brand, a unique set of strengths from across the Capgemini Group: the world leading engineering and R&D services of Altran acquired by Capgemini in 2020 - and Capgemini's digital manufacturing expertise. With broad industry knowledge and cutting-edge ...