RTR Specialist
DuPont
At DuPont, our purpose is to empower the world with essential innovations to thrive. We work on things that matter. Whether it’s providing clean water to more than a billion people on the planet, producing materials that are essential in everyday technology devices from smartphones to electric vehicles, or protecting workers around the world. Discover the many reasons the world’s most talented people are choosing to work at DuPont. Why Join Us | DuPont Careers
Job Responsibilities: NA accountant is responsible for month-close accounting and reporting, Balance Sheet Account Reconciliations, TB analysis, flux analysis etc.. This position is responsible for the financial integrity and reliability of account balance in SAP. The candidate will interact with Local Finance, Business Controllers, Business Analysts, and other support networks. This position will require an end-user exposure of SAP FI module and Central Finance reporting.
Skills/Experience Required:
- Qualification and basic requirements: CA(Inter)/ CWA (Inter)/ MBA with 1 – 3 years of relevant experience in Financial accounting & reporting, Record to Report etc..
- Ability to develop effective working relationships with business partners/customers
- An excellent attention to detail.
- Very good working knowledge of Microsoft Office is essential.
- Is expected to have strong technical understanding of accounting principles and demonstrated competence in their application.
- Ability in Accounting , Reconciliations
- Should have demonstrated the ability of driving result
Impact on the Business & Team work
- Working with team and customer to ensure delivery as per agreed timelines.
- Performs Balance sheet account reconciliations (like Cash & Bank, Prepaids, Accruals, Tax, Equity, Dividends etc…) in compliance with SOX and DuPont account reconciliation policy.
- Identify reconciling items and follow up with respective teams to clear them off.
- Clearing of entries in open item managed accounts where the debit and credit entries are either posted manually or through system.
- Clearing of Bank interim / control accounts.
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