Buyer Specialist
at Cognizant
Heredia, Provincia de Heredia, Costa Rica -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 19 Oct, 2024 | Not Specified | 20 Jul, 2024 | N/A | English | No | No |
Required Visa Status:
Citizen | GC |
US Citizen | Student Visa |
H1B | CPT |
OPT | H4 Spouse of H1B |
GC Green Card |
Employment Type:
Full Time | Part Time |
Permanent | Independent - 1099 |
Contract – W2 | C2H Independent |
C2H W2 | Contract – Corp 2 Corp |
Contract to Hire – Corp 2 Corp |
Description:
TEAM LEAD|TEAM MANAGER
Qualification:
Bachelors,Masters degree in Finance,Accounting,Management etc
Responsibility:
Business,Customer,Articulate,communicate in a manner which is understood by clients,end users
- Connect with the customer and provide highest level of satisfaction to the customer.
- Effectively communicate information on products,services or trouble shoot issues within the specified time frames as agreed.
- Strive to understand and resolve issues,queries at the first instant.
- Product Control.
- Produce daily and monthly profit and loss (PnL) timely and accurately.
- Accurately process manual adjustments.
- Flag any identified operational issues to superiors.
- Check and ensure feed completeness.
- Resolve upstream issues (like feeds system downtime etc)in conjunction with IT shared services.
- Valuations Control.
- Run the reports from different risk management systems (RMS )for the computation of variance.
- Run the initial reports for various reserves.
- Run the fair value hierarchy (FVH) reports and reconcile the Month over month (MOM).
- Calculate Valuation uncertainty calculations (eg Prudential Valuations and internationa financial reporting standards (IFRS13)).
- Run Controls reports and update the documentation.
- Finance and Accounting.
- Reconciliation of non key accounts with low value impact.
- Conduct first level reconciliation of general ledger (GL) and Sub Ledgers with low value.
- Escalate unreconciled items.
- Support resolution of GL reconciliation within time lines.
- Perform journal entry posting with addition,deletion control with necessary approvals.
- Process vendor invoices within agreed service level agreement (SLA).
- Set up vendor as per process guidelines.
- Perform two,three way match (goods receipt(GR) purchase order(PO) and Invoice) for PO Invoice (as applicable).
- Follow appropriate approval process for non PO Invoices.
- Detecting duplicate invoices and avoiding duplicate payments.
- Validate invoices which are due for payment run.
- Process manual payment wherever applicable with approvals.
- Reporting.
- Produce various month end balance sheet reports as per agreed process guidelines.
- Produce various daily,weekly,monthly PandL reports in a timely manner with high degree of accuracy as agreed with the client.
- Responsible for statutory financial statements after the financial year end.
- Execute daily and monthly regulatory reporting.
- Asset Management Fund accounting.
- Accounting daily Journal entries for cash,bank transactions in accordance with the relevant supporting docs as per agreed quality and turn around time (TAT) with clients.
- Preparing,accounting for Adhoc Fund accounting deliverables like Capital Call Distributions with accuracy.
- Perform cash,bank reconciliations on a regular basis.
- Prepare financial statements schedule of investments and portfolio valuations on a quarterly basis.
- Monitor the cash flows to facilitate capital calls and distributions on a regular basis.
- Perform bank accounting reconciliations on a regular basis.
- Prepare firm reporting on a monthly, quarterly basis.
- Asset Management Fund Operations.
- Ensure emails are tracked/ tagged to their respective items in the application.
- Perform low and medium complexity deliverables such as like documentation new investor on boarding updation , creation of investor data with highest accuracy and within timelines.
- Asset Management Fund Reporting.
- Preparing quarterly work papers and binders for controller reviews.
- Quarterly reporting of partners capital accounts.
- Firm PandL ,Balance sheet,Management Fee reporting to Financial Control.
- Assets Under Management (AUM),Net new Assets (NNA), Net New Revenue (NNR) reporting.
- Regulatory and Risk Reporting (TIC FIN 45 & FIN 46).
- Ratings report from Bloomberg S&P and Moody for issuers and assets across all portfolios.
- Performance deviation reports (Vs benchmarks using Sharpe Std Deviation and Beta).
- Restriction reports (Adherence against mandates,Investment Guidelines Monitoring).
- Techno function.
- Maintain update inventory for various market data products software products etc.
- Manage products sevices and software fulfillment.
- Validate expenses against Market data inventory fixes discrepancies and process invoices for payment.
- Liaise with vendor and get necessary Market data product access for small vendors web based services etc.
- Provide support in development ,troubleshooting for reports and maintenance.
- Play significant role in testing activities during version,Tools upgrades.
- Manage software license key delivery and vendor portal management.
- Project,Process.
- Meet process SLAs,metrics productivity and quality targets within the established timelines.
- Ensure 100% process guidelines are followed and met as documented.
- Adhere to audit compliance of all relevant processes as laid out in process documentation.
- Record data relating to production statistics end user related notes etc as appropriate.
- Record the output in the system provided by Cognizant.
- Stay updated withthe process knowledge,changes refer to knowledge updates,repositories to effectively complete assigned task,activities.
- Adhere to security practices set by organization (both client and cognizant).
- Highlight process related issues,concerns pro actively with TL,TMs.
- Generate process improvement ideas for better productivity accuracy and turnaround time.
- \People,Team Management.
- Complete all mandatory training,certifications as per the requirement of the business (Both customer and cognizant).
- Contribute to and participate in knowledge sharing sessions.
- Attend refresher training.
- Maintain up to date Standard Operating Procedues (SOPs) for assigned activities within scope on regular basis.
- Align individual goals with team objectives (work cohesively with the team).
- Participate and contribute to organizational activities.
- Record own attendance and time sheet related data to ensure correct billing.
- Provide individual performance data for reporting purposes as and when requested by the Process and Team Lead.
Must Have Skills
- Finance - Procure to Pay
- Speaking English
- MS Excel
Good To Have Skills
- Supplier Rel Mgmt-Procurement
- Procurement(Tech)
Responsibilities:
Please refer the Job description for details
REQUIREMENT SUMMARY
Min:N/AMax:5.0 year(s)
Financial Services
Accounts / Finance / Tax / CS / Audit
Finance
Graduate
Proficient
1
Heredia, Provincia de Heredia, Costa Rica