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Job Location | Gurugram |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | IT - Software |
Functional Area | Finance / Accounts / Tax |
EmploymentType | Full-time |
PD, UK FinanceIn this role, you will be responsible for delivery of all the daily, weekly and monthly syndicate and managing agency accounting and reporting activities. You need to communicate effectively with onshore and offshore team to bring value into the process through disciplined action.You will be expected to focus on various process-Technical, non-technical and reportingResponsibilitiesAccounting for transaction processed via Lloyd s ( LCA messages ) across Pembroke managed syndicates; including preparing and uploading the journals into the accounting ledgerPrepare journal entries in accordance with Ironshore accounting policiesPrepare monthly schedules for accruals, prepayments, fixed assets and upload the relevant journals into the accounting ledgerPrepare balance sheet account reconciliations, clearly identifying reconciling items and ensuring resolutions are achievedSupport the accounting for insurance technical transactions across the managed syndicatesManaging the AP mailboxes and getting invoices booked on Kiss-flow with respective accounting analysis codes.Qualifications Minimum qualificationsCA (Intermediate), MBA Finance, M.COMStrong analytical skillsAdvanced user of ExcelPreferred qualificationsInsurance accounting background would be an added advantageWord and PowerPointGood communication skills, interpersonal, verbal and written communication skills (in English)Ability to handle varied volumes of workloads and to reach targets and deadlines on a timely basis,
Keyskills :
sapaccountsaccountingcustomer relationsbasisfixed assetsbalance sheetcustomer focusjournal entriescommunication skillsinsurance accounting