Job Location: Chennai,Chennai,TN,India
- Handle monthly loan portfolio and payment reconciliation process
- Month end close of P&L and balance sheet substantiation including clearing breaks, provide commentary on material P&L moves
- Prepare regular and ad hoc financial dashboards and investor/client reports
- Perform day to day Cash Management
- Work with stake holders to build and track budgets
- Document, optimize and automate monthly reconciliation processes and reports
- Collaborate with cross functional teams to discuss product roadmap and process enhancements
Qualifications
- Experience in working in a fast paced, deadline driven environment and comfortable with dynamically shifting priorities, timelines, and demands
- Advanced Excel skills preferably with experience manipulating large data sets (Power BI, SQL, Tableau, VBA)
- Experience with automation/reporting tools will be useful
- Excellent communication skills
- Fast learner/critical thinker
- Detail oriented
- Aptitude for finance/quantitative analysis
- CMA/MBA from reputed institute
- 2-5 years experience (keywords: Cost-benefit analysis, Variance Analysis, Budgeting/Forecasting, Reconciliation, valuation, Investor/financial reporting, fund client services)
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