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Job Location | Gurugram |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | Education / Training |
Functional Area | General / Other Software |
EmploymentType | Full-time |
Retrieve, transform and enter events and data from old application to new application via Reports and UI in close cooperation with the legacy application support teamPopulate reconciliation files built by the fund accounting team with the results from the new application, validate and produce exception reportsLearn and understand the fundamentals of the application functionality and the respective underlying business logicAnalyze and document issues in issue tracker and help debug issues found by users or support teamEscalate issues to 2nd level reviewers and assist with analysisInterface with fund accounting team in US Assist in running events in the application and reconcile and document the results Provide standard and ad- hoc reporting services Work with interfacing systems managers to maintain/ enhance interfacesBuild new reports in the applications query tool or through other reporting frameworks like SSRS,
Keyskills :
ssrs debugging privateequity fundaccounting unning business analysis rep ting interfaces cooperation interfacing fundamentals reconciliation rep tingservices