Ensure timely Month end close and Financial Reporting.
Responsible for Preparation of Financial as per US GAAP/IGAAP.
Exception management including reconciliation and break resolution.
Ensure continuous follow up and discussions with onshore customers to update on the progress of reconciliations and the impact if any as a result of breaks identified
Prepare and review monthly balance sheet, with substantiation and potential financial exposure.
Generating MIS Packs