Executive-Record to Report at Michelin
pune, maharashtra, India -
Full Time


Start Date

Immediate

Expiry Date

06 Jun, 26

Salary

0.0

Posted On

08 Mar, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Bank Reconciliations, Cash Application, Journal Entries, Month-End Close, Balance Sheet Accounts, Discrepancy Investigation, Internal Controls, Financial Regulations

Industry

Civic and Social Organizations

Description
Executive-Record to Report - - - - - - - - - - - - KEY EXPECTED ACHIEVEMENTS 1. Bank Reconciliations: Perform daily, weekly, or monthly reconciliations of multiple bank accounts and currencies. 2 Cash Application & Journal Entries: Post manual journal entries related to cash transactions, bank charges, and interest. 3. Month-End Close Activities: Execute month-end tasks, including, but not limited to, reconciling cash balance sheet accounts and ensuring accuracy. 4. Investigate and resolve discrepancies between internal records and bank statements. 5. Coordinating with AP, AR, etc. departments to ensure the accuracy of reconciliations 6. Ensure adherence to internal controls and financial regulations Michelin, the leading tire company, is dedicated to sustainably improving the mobility of goods and people by manufacturing and marketing tires and services for every type of vehicle, including airplanes, automobiles, bicycles/motorcycles, earthmovers, farm equipment and trucks. It also offers digital mobility support services and publishes travel guides, hotel and restaurant guides, maps and road atlases. Headquartered in Clermont-Ferrand, France, Michelin is present in more than 170 countries, has 111,200 employees and operates 67 production plants in 17 different countries. Michelin has a Technology Center in charge of research and development, with operations in Europe, North America and Asia. In short, whether you look at our mission, our products or our people, Michelin is a company that truly helps you to move forward... Visit our website to discover more about us www.michelin.com
Responsibilities
The role involves performing daily, weekly, or monthly reconciliations for multiple bank accounts and currencies, and posting manual journal entries related to cash transactions. Key tasks also include executing month-end close activities, reconciling balance sheet accounts, and investigating discrepancies.
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