REF100612X I Senior Associate - R2R (Cash & Bank) I US Shift I Pune at WNS Global Services
Pune, maharashtra, India -
Full Time


Start Date

Immediate

Expiry Date

03 Aug, 26

Salary

0.0

Posted On

05 May, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Management, Bank Reconciliation, Accounting Principles, SAP, MS Excel, VLOOKUP, Pivot Tables, Financial Reporting, Month-end Closing, Accruals, Journal Posting, Cash Flow Monitoring

Industry

Business Consulting and Services

Description
Company Description WNS, part of Capgemini, is an Agentic AI-powered leader in intelligent operations and transformation, serving more than 700 clients across 10 industries, including Banking and Financial Services, Healthcare, Insurance, Shipping and Logistics, and Travel and Hospitality. We bring together deep domain excellence – WNS’ core differentiator – with AI-powered platforms and analytics to help businesses innovate, scale, adapt and build resilience in a world defined by disruption.Our purpose is clear: to enable lasting business value by designing intelligent, human-led solutions that deliver sustainable outcomes and a differentiated impact. With three global headquarters across four continents, operations in 13 countries, 65 delivery centers and more than 66,000 employees, WNS combines scale, expertise and execution to create meaningful, measurable impact. Job Description As our Cash & Bank Accounts and Reconciliation Specialist, you will be the guardian of financial accuracy and every discrepancy is resolved, and every report reflects the true financial health of the company. Your meticulous attention to detail will directly support smooth operations, timely reporting, and compliance with internal and external requirements. What You'll Do: Manage daily cash and bank transactions, ensuring accurate posting in the accounting system. Perform end-to-end bank reconciliations for multiple accounts, identifying and resolving discrepancies promptly. Monitor cash flow positions and prepare daily/weekly cash flow reports for management. Liaise with banks for transaction clarifications, statement requests, and issue resolution. Support month-end and year-end closing activities by reconciling balances and preparing schedules. Maintain proper documentation for all reconciliations in line with audit requirements. Collaborate with the finance team to improve reconciliation processes and reduce errors. Month end accruals, clearance journal posting. What You'll Bring: 3–4 years of hands-on experience in cash and bank account management and reconciliation. Strong knowledge of accounting principles and reconciliation best practices. Proficiency in accounting software (e.g., SAP) and MS Excel (VLOOKUP, pivot tables). A keen eye for detail and the ability to spot discrepancies quickly. Strong communication skills to coordinate with internal teams and external banking partners. Ability to work under tight deadlines while maintaining accuracy. Qualifications Commerce Graduate / Post graduate
Responsibilities
Manage daily cash and bank transactions and perform end-to-end bank reconciliations to ensure financial accuracy. Monitor cash flow positions and support month-end and year-end closing activities.
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