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Job Title


Assistant Manager-General Ledger Accounting


Company : Talentvisorr


Location : Gurgaon, Haryana


Created : 2025-05-05


Job Type : Full Time


Job Description

A Global Real Estate Investment Trust (REIT) specializing in wireless and broadcast communications infrastructure. Having headquartered in Boston, Massachusetts, the company owns and operates over two lacs communications sites worldwide, including approximately forty thousands in the United States.Responsibilities General Ledger accounting spanning outside of Banking / treasury / cash management related activities. Control, analyze and account-for Inter-company billing generating the necessary records related to accounting for such transactions in compliance with applicable standards and policies. Perform monthly financial close activities, which include preparation of accruals, performing reconciliations, booking journal entries, maintaining internal control documentation and perform required reconciliations. Prepare reports and financial presentations by collecting, analyzing, and summarizing financial information. Responsible for cash flow reporting and cash management activities on daily basis. Governance over receipt of bank statements, ensuring interface into accounting systems and system enabled reconciliations. Perform daily bank reconciliations for Collection and Payment Bank accounts in compliance with Policy and Standard Operating Procedures in an accurate and timely manner. Research on unreconciled items and collaborate with market participants for its resolutions. Timely updating of trackers, tools, workflows and systems to ensure the information is sent to the stakeholders on timely basis and evokes a timely response towards resolution. Ensure the Bank reconciliation status is accurately reflected in the systems. Perform reporting and dashboards that accurately reflects the banking transactions and un-reconciled items requiring resolution. Initiate and account for Banking transactions in compliance with policy. Perform month end closing activities and all activities necessary to close Cash management activities. Will be one point of contact for Onshore Service Delivery leads and will need to work with and execute necessary tasks as assigned by them and strive towards highest level of customer satisfaction. Governance of open issues assigned / highlighted by Onshore service delivery leads and its resolutions in timely manner. Ensure reconciliations of control accounts are upto date in line with policy. Perform / assist customer reconciliation and resolve open items Prepare receivable statements, ageing statements and necessary month end reporting in line with policy and deliver analytical and other reports as required from time to time. Analyze and report monthly metrics to demonstrate the performance of GBS against agreed SLA’s as established in the service level agreements Collaborate with internal customers to resolve queries related to accounting issues Ensure all processes are executed in line with documented SLA’s and drive effective conflict resolution with customer market teams. Ensure the operation of the data governance process for the market, ensuring that internal information controls are complied with by clients and information requestors Support implementation of system and process enhancements to drive efficiencies and scalability Stay informed about latest company practices and guidelines Other duties as assignedQualificationsEducational Qualification – Bachelor’s Degree in commerce / accounting required. Professional qualification like CA / CMA / CS would be given preference. Minimum of 6 years of General Ledger accounting / cash management along with bank reconciliation in a high volume environment.Note:- This opportunity is for European Shift.