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Assistant Manager - F&A Operations

Discussion

Ensure the accuracy and integrity of balance sheet accounts by performing detailed reconciliations. This role involves identifying discrepancies, resolving issues, and maintaining accurate financial records to support financial reporting and compliance.

Perform regular and ad hoc reconciliations of balance sheet accounts, including cash, accounts receivable, accounts payable, and other key accounts.
Investigate and resolve discrepancies between general ledger balances and subsidiary ledgers or external statements.
Ensure that all reconciling items are properly documented and resolved in a timely manner.

Bachelors or Master's Degree in commerce

Skills

See also

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